0001752724-21-213116.txt : 20210928 0001752724-21-213116.hdr.sgml : 20210928 20210928171000 ACCESSION NUMBER: 0001752724-21-213116 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210731 FILED AS OF DATE: 20210928 PERIOD START: 20211031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Dunham Funds CENTRAL INDEX KEY: 0001420040 IRS NUMBER: 000000000 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22153 FILM NUMBER: 211288165 BUSINESS ADDRESS: STREET 1: 10251 VISTA SORRENTO PARKWAY STREET 2: SUITE 200 CITY: SAN DIEGO STATE: CA ZIP: 92121 BUSINESS PHONE: 858-964-0500 MAIL ADDRESS: STREET 1: 10251 VISTA SORRENTO PARKWAY STREET 2: SUITE 200 CITY: SAN DIEGO STATE: CA ZIP: 92121 0001420040 S000034854 Dunham Focused Large Cap Growth Fund C000107185 Dunham Focused Large Cap Growth Fund Class A DAFGX C000107186 Dunham Focused Large Cap Growth Fund Class C DCFGX C000107187 Dunham Focused Large Cap Growth Fund Class N DNFGX NPORT-P 1 primary_doc.xml NPORT-P false 0001420040 XXXXXXXX S000034854 C000107186 C000107187 C000107185 Dunham Funds 811-22153 0001420040 549300FI2C3SP4YCHL80 10251 VISTA SORRENTO PARKWAY SUITE 200 SAN DIEGO 92121 858-964-0500 Dunham Focused Large Cap Growth Fund S000034854 549300RBSK31DR791214 2021-10-31 2021-07-31 N 207087082.83 243337.53 206843745.30 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 N QUALCOMM Incorporated H1J8DDZKZP6H7RWC0H53 QUALCOMM INC 747525103 18000.00000000 NS USD 2696400.00000000 1.303592717338 Long EC CORP US N 1 N N N Facebook, Inc. BQ4BKCS1HXDV9HN80Z93 FACEBOOK INC-A 30303M102 20844.00000000 NS USD 7426717.20000000 3.590496386162 Long EC CORP US N 1 N N N Intuitive Surgical 54930052SRG011710797 INTUITIVE SURGIC 46120E602 6756.00000000 NS USD 6698303.76000000 3.238340008920 Long EC CORP US N 1 N N N Advanced Micro Devices, Inc. R2I72C950HOYXII45366 ADV MICRO DEVICE 007903107 11405.00000000 NS USD 1211096.95000000 0.585512966922 Long EC CORP US N 1 N N N Netflix, Inc. 549300Y7VHGU0I7CE873 NETFLIX INC 64110L106 9829.00000000 NS USD 5087195.53000000 2.459438898005 Long EC CORP US N 1 N N N Salesforce.com, Inc. RCGZFPDMRW58VJ54VR07 SALESFORCE.COM 79466L302 29367.00000000 NS USD 7104758.31000000 3.434843195135 Long EC CORP US N 1 N N N Paypal Holdings Incorporation 5493005X2GO78EFZ3E94 PAYPAL HOLDINGS 70450Y103 42188.00000000 NS USD 11624059.64000000 5.619729822209 Long EC CORP US N 1 N N N Edwards Lifesciences Corporation YA13X31F3V31L8TMPR58 EDWARDS LIFE 28176E108 47628.00000000 NS USD 5347195.56000000 2.585137661399 Long EC CORP US N 1 N N N Visa Inc 549300JZ4OKEHW3DPJ59 VISA INC-CLASS A 92826C839 44208.00000000 NS USD 10892409.12000000 5.266008456867 Long EC CORP US N 1 N N MasterCard Incorporated AR5L2ODV9HN37376R084 MASTERCARD INC-A 57636Q104 28797.00000000 NS USD 11113914.18000000 5.373096568078 Long EC CORP US N 1 N N N US BANK MMDA N/A US BANK MMDA-USBFS 3 N/A 1812346.99000000 PA USD 1812346.99000000 0.876191343069 Long STIV US N 1 N N N Tractor Supply Co 549300OJ9VZHZRO6I137 TRACTOR SUPPLY 892356106 19247.00000000 NS USD 3482359.71000000 1.683570225896 Long EC CORP US N 1 N N N Servicenow Inc 549300HJTQM36M0E1G39 SERVICENOW INC 81762P102 19866.00000000 NS USD 11679022.74000000 5.646302102614 Long EC CORP US N 1 N N N Mercadolibre Inc 549300DKPDN9M5S8GB14 MERCADOLIBRE INC 58733R102 3129.00000000 NS USD 4908462.30000000 2.373029115712 Long EC CORP US N 1 N N N Unity Software Inc N/A UNITY SOFTWARE I 91332U101 18000.00000000 NS USD 1928160.00000000 0.932181921770 Long EC CORP US N 1 N N Microsoft Corporation INR2EJN1ERAN0W5ZP974 MICROSOFT CORP 594918104 37138.00000000 NS USD 10580987.58000000 5.115449618577 Long EC CORP US N 1 N N N N/A N/A MOUNT VERNON LIQUID ASSETS PORTFOLIO N/A 0.00000000 NS USD 0.00000000 0.000000 Long STIV US N N/A N N Adobe Inc FU4LY2G4933NH2E1CP29 ADOBE INC 00724F101 11700.00000000 NS USD 7273071.00000000 3.516215097271 Long EC CORP US N 1 N N N Twilio Inc 5493004W8TRGD63APX93 TWILIO INC - A 90138F102 14269.00000000 NS USD 5330755.71000000 2.577189705334 Long EC CORP US N 1 N N N Align Technology I 549300N5YSE0U3LCP840 ALIGN TECHNOLOGY 016255101 9072.00000000 NS USD 6312297.60000000 3.051722734397 Long EC CORP US N 1 N N N Autodesk Inc FRKKVKAIQEF3FCSTPG55 AUTODESK INC 052769106 24312.00000000 NS USD 7807312.56000000 3.774497773029 Long EC CORP US N 1 N N N Nvidia Corp 549300S4KLFTLO7GSQ80 NVIDIA CORP 67066G104 58080.00000000 NS USD 11325019.20000000 5.475156709996 Long EC CORP US N 1 N N N Burlington Stores Inc. 5299003Z37DVGKKC1W09 BURLINGTON STORE 122017106 14619.00000000 NS USD 4894441.20000000 2.366250520604 Long EC CORP US N 1 N N Insulet Corporation 549300TZTYD2PYN92D43 INSULET CORP 45784P101 15000.00000000 NS USD 4195350.00000000 2.028270177527 Long EC CORP US N 1 N N N Veeva Systems Inc 549300YZEXPDB92M2F02 VEEVA SYSTEMS-A 922475108 28088.00000000 NS USD 9345158.48000000 4.517979727376 Long EC CORP US N 1 N N N Zendesk Inc 549300SLI6BN94BKKO36 ZENDESK INC 98936J101 21000.00000000 NS USD 2741130.00000000 1.325217736714 Long EC CORP US N 1 N N Amazon.com, Inc. ZXTILKJKG63JELOEG630 AMAZON.COM INC 023135106 4335.00000000 NS USD 14425102.65000000 6.973912906613 Long EC CORP US N 1 N N N Chipotle Mexican Grill Inc N/A CHIPOTLE MEXICAN 169656105 3031.00000000 NS USD 5648086.64000000 2.730605477969 Long EC CORP US N 1 N N Square Inc 549300OHIIUWSTIZME52 SQUARE INC - A 852234103 32905.00000000 NS USD 8136090.30000000 3.933447582956 Long EC CORP US N 1 N N DexCom Inc 549300YSK3QDSFR5EU59 DEXCOM 252131107 12159.00000000 NS USD 6268086.09000000 3.030348382499 Long EC CORP US N 1 N N Apple Inc. HWUPKR0MPOU8FGXBT394 APPLE INC 037833100 34775.00000000 NS USD 5072281.50000000 2.452228609882 Long EC CORP US N 1 N N N Lululemon Athletic 549300D9GZ4BMLDW5T40 LULULEMON ATH 550021109 11658.00000000 NS USD 4665181.86000000 2.255413550568 Long EC CORP US N 1 N N N 2021-08-27 Dunham Funds James Colantino James Colantino Assistant Treasurer XXXX NPORT-EX 2 dunham-funds_nport.htm DUNHAM FUNDS NPORT-EX 7.31.2021
DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares                              Fair Value 
     EXCHANGE-TRADED FUNDS — 0.5%                             
     FIXED INCOME - 0.5%                             
 7,375   VanEck Vectors High Yield Muni ETF (Cost $462,043)               $471,041 
                                   
Principal
Amount ($)
     Spread    Coupon Rate
(%)
   Maturity     
     ASSET BACKED SECURITIES — 30.7%           
     AUTO LOAN — 5.9%               
 83,077   American Credit Acceptance Receivables Trust(a)           3.1700    06/12/25    83,884 
 170,000   American Credit Acceptance Receivables Trust(a)           1.7700    12/14/26    173,082 
 280,000   American Credit Acceptance Receivables Trust(a)           0.9700    07/13/27    281,517 
 230,000   AmeriCredit Automobile Receivables Trust           1.0600    08/18/26    232,502 
 135,000   Americredit Automobile Receivables Trust 2018-1  D           3.8200    03/18/24    140,189 
 150,000   Avis Budget Rental Car Funding AESOP, LLC(a)           3.0700    09/20/23    153,869 
 155,000   Avis Budget Rental Car Funding AESOP, LLC(a)           2.3600    03/20/26    162,659 
 80,183   Capital Auto Receivables Asset Trust 2017-1(a)           2.7000    09/20/22    80,274 
 140,000   Carmax Auto Owner Trust 2019-1           3.7400    01/15/25    146,593 
 145,000   Carvana Auto Receivables Trust 2019-1(a)           3.8800    10/15/24    149,803 
 185,000   Carvana Auto Receivables Trust 2019-3(a)           2.7100    10/15/24    188,727 
 175,000   Carvana Auto Receivables Trust 2019-3 Class D(a)           3.0400    04/15/25    180,990 
 265,000   Carvana Auto Receivables Trust 2021-N1           1.3000    01/10/28    268,246 
 280,000   Carvana Auto Receivables Trust 2021-N2           1.0700    03/10/28    281,177 
 236,334   Credito Real USA Auto Receivables Trust 2021-1  A(a)           1.3500    02/16/27    236,550 
 135,000   Drive Auto Receivables Trust 2019-4           2.5100    11/17/25    136,795 
 71,088   DT Auto Owner Trust 2019-1(a)           3.6100    11/15/24    71,617 
 150,000   First Investors Auto Owner Trust 2019-1(a)           3.2600    03/17/25    153,349 
 180,000   Flagship Credit Auto Trust 2020-4(a)           1.2800    02/16/27    181,976 
 185,000   GLS Auto Receivables Issuer Trust 2019-4  Class C(a)           3.0600    08/15/25    191,645 
 190,000   GLS Auto Receivables Issuer Trust 2020-1(a)           2.4300    11/15/24    193,316 
 125,000   OneMain Direct Auto Receivables Trust 2018-1(a)           3.8500    10/14/25    126,207 
 205,000   Prestige Auto Receivables Trust 2020-1(a)           1.3100    11/16/26    207,156 
 345,000   Santander Drive Auto Receivables Trust 2020-4           1.0100    01/15/26    347,724 
 275,000   Santander Drive Auto Receivables Trust 2021-3           0.9500    09/15/27    275,525 
 275,000   United Auto Credit Securitization Trust(a)           0.8400    06/10/26    275,193 
 100,000   United Auto Credit Securitization Trust 2020-1  C(a)           2.1500    02/10/25    100,888 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

  
Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    ASSET BACKED SECURITIES — 30.7% (Continued)            
     AUTO LOAN — 5.9% (Continued)              
 155,000   Veros Automobile Receivables Trust 2020-1 (a)        2.1900    06/16/25   $156,199 
 15,761   Westlake Automobile Receivables Trust 2018-3(a)        3.6100    10/16/23    15,782 
 170,000   Westlake Automobile Receivables Trust 2020-3(a)        1.2400    11/17/25    171,798 
                        5,365,232 
     COLLATERALIZED MORTGAGE OBLIGATIONS — 8.2%                    
 66,514   Angel Oak Mortgage Trust 2019-3(a).(f)        2.9300    05/25/59    66,906 
 282,301   Angel Oak Mortgage Trust 2020-R1(a),(f)        1.2470    12/26/24    284,280 
 197,257   Arroyo Mortgage Trust 2019-1  Series 2019-1 Class A1(a),(f)        3.8050    01/25/49    201,441 
 91,072   Arroyo Mortgage Trust 2019-2  Series 2019-2 Class A1(a),(f)        3.3470    04/25/49    92,917 
 21,747   Banc of America Funding 2005-1 Trust        5.5000    02/25/35    22,618 
 170,350   Bunker Hill Loan Depositary Trust 2019-2(a),(b)        2.8790    07/25/49    173,049 
 46,758   Chase Mortgage Finance Corporation(a),(f)        3.7080    02/25/44    47,948 
 73,187   Chase Mortgage Finance Corporation(a),(f)        3.7500    04/25/45    74,615 
 49,237   Citigroup Mortgage Loan Trust 2019-IMC1(a),(f)        2.7200    07/25/49    49,808 
 30,834   Citigroup Mortgage Loan Trust, Inc.        6.7500    08/25/34    33,061 
 172,466   COLT 2020-RPL1 Trust(a),(f)        1.3900    01/25/65    174,363 
 170,557   COLT Funding, LLC(a), (f)        1.0510    12/25/64    170,701 
 59,005   CSMC 2020-NQM1 Trust(a),(b)        1.2080    05/25/65    59,407 
 211,818   CSMC 2020-RPL4 Trust(a),(f)        2.0000    01/25/60    217,900 
 133,676   CSMC 2021-NQM1(a),(f)        0.8090    05/25/65    133,942 
 52,145   Ellington Financial Mortgage Trust 2019-2(a),(f)        3.0460    11/25/59    53,081 
 44,469   Flagstar Mortgage Trust 2017-1(a),(f)        3.5000    03/25/47    45,127 
 30,916   Galton Funding Mortgage Trust 2017-1(a),(f)        3.5000    11/25/57    31,375 
 3,227   Galton Funding Mortgage Trust 2018-2(a),(f)        4.5000    10/25/58    3,235 
 27,211   Galton Funding Mortgage Trust 2019-H1(a),(f)        2.6570    10/25/59    27,684 
 56,280   Galton Funding Mortgage Trust 2020-H1(a),(f)        2.3100    01/25/60    57,317 
 116,963   GCAT 2019-NQM1, LLC(a),(b)        2.9850    02/25/59    117,666 
 305,000   GCT Commercial Mortgage Trust 2021-GCT(a),(c)   US0001M + 0.800%    0.8930    02/15/23    305,507 
 155,533   GS Mortgage-Backed Securities Trust 2020-NQM1(a),9f)        2.3520    09/27/60    158,098 
 153,678   Homeward Opportunities Fund I Trust 2018-2(a),9f)        3.9850    11/25/58    156,550 
 31,806   JP Morgan Mortgage Trust 2005-A5 (f)        3.2230    08/25/35    33,036 
 104,496   JP Morgan Mortgage Trust 2017-5(a),(f)        3.0900    12/15/47    107,369 
 220,000   LHOME Mortgage Trust 2021-RTL1(a),(f)        2.0900    09/25/26    219,894 
 100,000   METLIFE S.E.CURITIZATION TRUST(a),(f)        3.4970    04/25/55    105,529 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    ASSET BACKED SECURITIES — 30.7% (Continued)            
     COLLATERALIZED MORTGAGE OBLIGATIONS — 8.2% (Continued)    
 76,106   METLIFE S.E.CURITIZATION TRUST 2019-1(a),(f)        3.7500    04/25/58   $78,577 
 199,632   Mill City Mortgage Loan Trust 2019-1(a),(f)        3.5000    10/25/69    218,728 
 232,243   New Residential Mortgage Loan Trust 2014-3(a),(f)        3.7500    11/25/54    248,494 
 190,235   New Residential Mortgage Loan Trust 2016-3(a),(f)        4.0000    09/25/56    212,258 
 60,829   New Residential Mortgage Loan Trust 2016-4(a),(f)        3.7500    11/25/56    64,850 
 337,653   New Residential Mortgage Loan Trust 2017-2(a),(f)        4.0000    03/25/57    363,190 
 126,554   New Residential Mortgage Loan Trust 2018-1(a),(f)        4.0000    12/25/57    136,051 
 596,902   New Residential Mortgage Loan Trust 2020-1(a),(f)        3.5000    10/25/59    626,320 
 16,784   OBX 2018-EXP2 Trust(a),(f)        4.0000    11/25/48    16,854 
 41,541   OBX 2019-INV1 Trust(a),(f)        4.5000    11/25/48    42,911 
 118,293   OBX 2021-NQM1 Trust(a),(f)        1.0720    02/25/66    119,393 
 51,316   Provident Funding Mortgage Loan Trust 2019-1 A2(a),(f)        3.0000    12/25/49    51,940 
 180,000   Provident Funding Mortgage Warehouse(a),(c)   US0001M + 1.150%    1.2390    02/25/55    179,073 
 255,773   PRPM 2020-3, LLC(a),(b)        2.8570    09/25/25    257,526 
 262,222   PRPM 2021-2, LLC(a),(f)        2.1150    03/25/26    263,197 
 124,444   RCKT Mortgage Trust 2020-1(a),(f)        3.0000    02/25/50    127,152 
 61,059   Residential Mortgage Loan Trust 2019-2(a),(f)        2.9130    05/25/59    62,062 
 204,434   Residential Mortgage Loan Trust 2020-1(a),(f)        2.3760    02/25/24    206,913 
 216,124   Starwood Mortgage Residential Trust 2020-1(a),(f)        2.2750    02/25/50    218,971 
 67,548   Starwood Mortgage Residential Trust 2020-2(a),(f)        2.7180    04/25/60    68,405 
 66,792   Starwood Mortgage Residential Trust 2020-3(a),(f)        1.4860    04/25/65    67,162 
 123,833   Towd Point HE Trust 2019-HE1(a),(c)   US0001M + 0.900%    0.9890    04/25/48    123,960 
 100,000   Verus Securitization Trust 2019-4(a),(f)        3.2070    11/25/59    102,007 
 144,999   Verus Securitization Trust 2019-INV2(a),(f)        2.9130    07/25/59    147,025 
 106,515   Verus Securitization Trust 2020-1(a),(b)        2.4170    01/25/60    108,209 
 89,310   Verus Securitization Trust 2021-2(a),(f)        1.0310    02/25/66    89,430 
 50,217   Wells Fargo Mortgage Backed Securities 2020-4(a),(f)        3.0000    07/25/50    51,280 
                        7,476,362 
     CREDIT CARD — 1.0%                    
 305,000   Fair Square Issuance Trust  Series 2020-AA A(a)        2.9000    09/20/24    308,006 
 200,000   Genesis Private Label Amortizing Trust 2020-1(a)        2.8300    07/20/30    200,376 
 410,000   Genesis Sales Finance Master Trust(a)        1.6500    09/22/25    413,177 
                        921,559 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    ASSET BACKED SECURITIES — 30.7% (Continued)            
     HOME EQUITY — 0.0%(d)               
 10,413   NovaStar Mortgage Funding Trust Series 2004-4(c)   US0001M + 1.725%    1.8140    03/25/35   $10,448 
                          
     MANUFACTURED HOUSING — 0.1%                    
 80,540   Towd Point Mortgage Trust 2019-MH1(a)        3.0000    11/25/58    81,903 
                          
     NON AGENCY CMBS — 2.1%                    
 223,095   Angel Oak SB Commercial Mortgage Trust 2020-SBC1(a),(f)        2.0680    05/25/50    223,880 
 90,000   BPR Trust(a),(c)   US0001M + 1.250%    1.3430    02/15/29    90,088 
 130,000   BX Trust 2019-OC11  Series 2019-OC11 D(a),(f)        4.0750    12/09/41    141,833 
 233,297   CHC Commercial Mortgage Trust 2019 - CHC(a),(c)   US0001M + 1.120%    1.2130    06/15/34    233,686 
 128,326   Citigroup Commercial Mortgage Trust 2015-GC27        2.8780    02/10/48    133,968 
 205,000   CSMC 2019-ICE4(a),(c)   US0001M + 0.980%    1.0730    05/15/36    205,730 
 25,436   Exantas Capital Corporation(a),(c)   SOFR30A + 1.264%    1.3100    03/15/35    25,479 
 252,000   GS Mortgage Securities Corp Trust 2012-ALOHA  A(a)        3.5510    04/10/22    254,419 
 135,000   GS Mortgage Securities Trust 2020-GC45 (f)        3.1730    02/13/53    146,541 
 185,000   Hilton USA Trust 2016-SFP(a)        3.3230    11/05/35    186,701 
 233,211   Onslow Bay Mortgage Loan Trust(a),(f)        1.1010    05/25/61    234,008 
 62,000   WFRBS Commercial Mortgage Trust 2014-C24        3.9310    11/15/47    66,382 
                        1,942,715 
     OTHER ABS — 6.6%                    
 230,000   American Homes 4 Rent 2014-SFR2 Trust(a)        4.7050    10/17/36    247,363 
 278,652   American Homes 4 Rent 2015-SFR1  Series 2015-SFR1 A(a)        3.4670    04/17/52    294,983 
 220,000   American Homes 4 Rent 2015-SFR2 Trust(a)        4.6910    10/17/45    241,335 
 314,698   AMSR 2020-SFR1 Trust(a)        1.8190    04/17/25    320,799 
 175,000   AMSR 2020-SFR1 Trust(a)        2.1200    04/17/37    177,757 
 250,000   AMSR 2020-SFR2 Trust(a)        2.5330    07/17/37    256,739 
 100,000   AMSR 2020-SFR2 Trust(a)        3.2820    07/17/37    103,811 
 35,798   Amur Equipment Finance Receivables VI, LLC(a)        3.8900    07/20/22    36,267 
 237,873   Aqua Finance Trust 2019-A(a)        3.1400    07/16/40    244,589 
 275,000   Aqua Finance Trust 2019-A(a)        4.0100    07/16/40    291,003 
 100,000   CCG Receivables Trust 2019-2(a)        2.5500    03/15/27    102,831 
 220,000   CCG Receivables Trust 2021-1(a)        0.8400    06/14/27    219,691 
 109,422   CF Hippolyta, LLC(a)        1.6900    07/15/60    111,957 
 175,000   Consumer Loan Underlying Bond CLUB Credit Trust(a)        2.9200    03/15/28    177,282 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
         Spread        Coupon Rate
(%)
   Maturity  Fair Value 
     ASSET BACKED SECURITIES — 30.7% (Continued)         
     OTHER ABS — 6.6% (Continued)       
 172,524   CoreVest American Finance 2018-2 Trust(a)               4.0260   11/15/52  $181,289 
 100,000   Corevest American Finance 2019-3 Trust(a)               3.2650   10/15/52   106,029 
 134,625   Corevest American Finance 2020-1 Trust  Series 2020-1 A1(a)               1.8320   03/15/50   137,460 
 220,137   Corevest American Finance 2020-4 Trust(a)               1.1740   12/15/52   219,367 
 240,000   Dext A.B.S 2020-1, LLC(a)               1.9200   11/15/27   242,625 
 34,983   Diamond Resorts Owner Trust(a)               3.2700   10/22/29   35,529 
 285,000   FirstKey Homes 2020-SFR1 Trust(a)               2.1890   08/17/28   288,218 
 375,000   FirstKey Homes 2020-SFR2 Trust(a)               1.5670   10/19/37   376,518 
 58,048   Foundation Finance Trust 2019-1(a)               3.8600   11/15/34   59,948 
 156,500   HIN Timeshare Trust 2020-A  Series C 20-A(a)               3.4200   10/09/39   162,797 
 130,000   Jersey Mike’s Funding(a)               4.4330   02/15/50   141,060 
 67,864   LL A.B.S Trust 2020-1  Series 2020-1A A(a)               2.3300   07/15/22   68,327 
 27,383   Marlette Funding Trust 2019-4(a)               2.3900   12/17/29   27,509 
 125,352   MVW 2020-1, LLC(a)               1.7400   10/20/37   128,336 
 25,663   MVW Owner Trust 2016-1(a)               2.2500   12/20/33   25,921 
 30,021   Octane Receivables Trust 2019-1  Series 2019-1A A(a)               3.1600   09/20/23   30,268 
 112,823   Octane Receivables Trust 2020-1  Series 2020-1A A(a)               1.7100   02/20/25   113,839 
 77,009   Orange Lake Timeshare Trust 2019-A(a)               3.3600   04/09/38   79,744 
 201,000   Progress Residential 2021-SFR1(a)               1.5550   04/17/38   200,459 
 112,695   Sierra Timeshare 2020-2 Receivables Funding, LLC(a)               2.3200   07/20/37   115,013 
 267   Sofi Consumer Loan Program 2017-5, LLC(a)               2.7800   09/25/26   267 
 97,457   Tricon American Homes 2017-SFR1 Trust(a)               2.7160   09/17/22   97,778 
 100,000   Tricon American Homes 2020-SFR2 Trust(a)               2.2810   11/17/27   100,934 
 191,197   VSE 2016-A VOI Mortgage, LLC(a)               2.5400   07/20/33   191,351 
 38,337   VSE 2017-A VOI Mortgage, LLC(a)               2.3300   03/20/35   39,297 
                             5,996,290 
     RESIDENTIAL MORTGAGE — 6.7%                         
 198,173   AJAX Mortgage Loan Trust(a),(f)               1.0650   09/25/65   196,603 
 131,923   Ajax Mortgage Loan Trust 2019-D(a),(b)               2.9560   09/25/65   132,951 
 100,000   Bayview Opportunity Master Fund IVa Trust(a),(f)               4.0000   06/28/57   104,478 
 33,445   Bayview Opportunity Master Fund IVa Trust 2017-RT1(a),(f)               3.0000   03/28/57   33,942 
 195,406   MFA 2021-NQM1 Trust(a),(f)               1.1530   04/25/65   195,472 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    ASSET BACKED SECURITIES — 30.7% (Continued)            
     RESIDENTIAL MORTGAGE — 6.7% (Continued)    
 100,000   Mill City Mortgage Loan Trust 2017-1 M2(a),(f)        3.2500    11/25/58   $105,730 
 119,530   New Residential Mortgage Loan Trust(a),(f)        0.9410    09/25/58    119,846 
 80,000   NewRez Warehouse Securitization Trust 2021-1(a),(c)   US0001M + 1.050%    1.1390    05/25/55    79,797 
 419,128   Pretium Mortgage Credit Partners I 2020-NPL3, LLC(a),(b)        3.1050    06/27/60    423,738 
 229,570   Pretium Mortgage Credit Partners, LLC(a),(b)        2.2390    09/27/60    230,117 
 265,000   Progress Residential 2021-SFR3(a)        2.2880    05/17/26    268,618 
 220,000   Progress Residential Trust(a)        2.1970    04/19/38    221,691 
 139,048   PRPM 2020-1, LLC(a),(b)        2.9810    02/25/25    139,849 
 275,000   Purchasing Power Funding 2021-A, LLC  Series 2021-A A(a)        1.5700    10/15/25    275,564 
 265,000   Regional Management Issuance Trust 2021-1(a)        1.6800    03/17/31    267,703 
 243,892   SG Residential Mortgage Trust 2021-1(a),(f)        1.5600    07/25/61    243,932 
 345,000   Towd Point Mortgage Trust 2016-3(a),(f)        3.5000    04/25/56    357,550 
 135,000   Towd Point Mortgage Trust 2016-4(a),(f)        3.8600    07/25/56    149,347 
 115,000   Towd Point Mortgage Trust 2017-1(a),(f)        3.7500    10/25/56    122,056 
 200,000   Towd Point Mortgage Trust 2017-4(a),(f)        3.0000    06/25/57    211,724 
 141,738   Towd Point Mortgage Trust 2018-4  A1(a),(f)        3.0000    06/25/58    147,647 
 140,000   Towd Point Mortgage Trust 2018-6(a),(f)        3.7500    03/25/58    149,984 
 300,000   Towd Point Mortgage Trust 2018-6(a),(f)        3.7500    03/25/58    320,771 
 255,000   Towd Point Mortgage Trust 2019-2(a),(f)        3.7500    12/25/58    274,775 
 235,000   Towd Point Mortgage Trust 2019-4(a),(f)        3.2500    10/25/59    253,114 
 82,073   VCAT 2020-NPL1, LLC(a),(b)        3.6710    08/25/50    82,622 
 270,799   VCAT 2021-NPL1, LLC(a),(b)        2.2890    12/26/50    271,866 
 130,000   VCAT 2021-NPL1, LLC(a),(b)        4.8260    12/26/50    130,379 
 88,794   VCAT 2021-NPL2, LLC(a),(b)        2.1150    03/27/51    89,167 
 147,276   VCAT Asset Securitization, LLC(a),(b)        1.7430    05/25/51    147,290 
 108,419   Vericrest Opportunity Loan Transferee(a),(b)        2.1160    04/25/51    108,856 
 109,969   VOLT C, LLC(a),(b)        1.9920    05/25/51    110,221 
 192,512   VOLT XCII, LLC(a),(b)        1.8920    02/27/51    192,850 
                        6,160,250 
     STUDENT LOANS — 0.1%                    
 123,621   Commonbond Student Loan Trust 2020-1(a)        1.6900    10/25/51    124,522 
                          
     WHOLE BUSINESS — 0.0%(d)                    
 5,559   Small Business Lending Trust 2019-A  Series 2019-A A(a)        2.8500    07/15/26    5,557 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)  
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
     ASSET BACKED SECURITIES — 30.7% (Continued)         
     TOTAL ASSET BACKED SECURITIES (Cost $27,819,102)        $28,084,838 
                          
     CORPORATE BONDS — 33.3%           
     AEROSPACE & DEFENSE — 0.5%           
 90,000   Boeing Company (The)        5.1500    05/01/30    107,467 
 108,000   Boeing Company (The)        5.9300    05/01/60    149,534 
 135,000   Spirit AeroSystems, Inc.(a)        5.5000    01/15/25    141,919 
 90,000   TransDigm, Inc.        5.5000    11/15/27    93,038 
                        491,958 
     APPAREL & TEXTILE PRODUCTS — 0.2%                    
 175,000   Hanesbrands, Inc.(a)        5.3750    05/15/25    184,286 
                          
     ASSET MANAGEMENT — 1.9%                    
 190,000   Ares Finance Co LLC(a)        4.0000    10/08/24    203,295 
 230,000   Blue Owl Finance, LLC(a)        3.1250    06/10/31    232,807 
 165,000   Brightsphere Investment Group, Inc.        4.8000    07/27/26    178,970 
 245,000   Charles Schwab Corporation (The) (c)   H15T10Y + 3.079%    4.0000    03/01/69    255,400 
 155,000   Citadel, L.P.(a)        4.8750    01/15/27    168,999 
 250,000   Drawbridge Special Opportunities Fund, L.P. (a), (g)        3.8750    02/15/26    259,053 
 170,000   Icahn Enterprises, L.P. / Icahn Enterprises        6.2500    05/15/26    178,925 
 250,000   UBS A.G.        7.6250    08/17/22    267,112 
                        1,744,561 
     AUTOMOTIVE — 0.4%                    
 188,000   Ford Motor Company        9.0000    04/22/25    231,654 
 160,000   Tenneco, Inc.(a), (g)        5.1250    04/15/29    164,800 
                        396,454 
     BANKING — 5.8%                    
 250,000   Bank of America Corporation(c)   US0003M + 0.770%    0.9460    02/05/26    253,549 
 95,000   Bank of America Corporation(c)   SOFRRATE + 0.960%    1.7340    07/22/27    96,698 
 715,000   Bank of America Corporation(c)   SOFRRATE + 1.320%    2.6870    04/22/32    747,043 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    CORPORATE BONDS — 33.3% (Continued)            
     BANKING — 5.8% (Continued)              
 200,000   BBVA Bancomer S.A.(a), (c)   H15T5Y + 2.650%    5.1250    01/18/33   $207,040 
 300,000   Citigroup, Inc.        4.0500    07/30/22    311,096 
 325,000   Citigroup, Inc.(c)   US0003M + 1.250%    1.3950    07/01/26    334,733 
 190,000   Citigroup, Inc.        3.2000    10/21/26    207,080 
 360,000   Discover Bank(c)   USSW5 + 1.730%    4.6820    08/09/28    383,122 
 95,000   JPMorgan Chase & Company(c)   SOFRRATE + 0.885%    1.5780    04/22/27    96,150 
 425,000   JPMorgan Chase & Company(c), (g)   SOFRRATE + 1.065%    1.9530    02/04/32    419,566 
 47,000   JPMorgan Chase & Company  Series HH(c)   SOFRRATE + 3.125%    4.6000    08/01/68    48,704 
 155,000   KeyCorporation(c)   US0003M + 3.606%    5.0000    12/29/49    172,382 
 205,000   Santander Holdings USA, Inc.        4.4000    07/13/27    231,929 
 200,000   Societe Generale S.A.(a)        4.7500    11/24/25    223,696 
 70,000   Synovus Financial Corporation(c)   USSW5 + 3.379%    5.9000    02/07/29    75,889 
 275,000   Texas Capital Bancshares, Inc. (c)   H15T5Y + 3.150%    4.0000    05/06/31    286,435 
 195,000   Toronto-Dominion Bank (The) (c), (g)   USSW5 + 2.205%    3.6250    09/15/31    217,798 
 185,000   Truist Financial Corporation(c)   H15T10Y + 4.349%    5.1000    03/01/69    213,213 
 435,000   Wells Fargo & Company(c), (g)   SOFRRATE + 2.100%    2.3930    06/02/28    455,480 
 330,000   Wells Fargo & Company(c), (g)   H15T5Y + 3.453%    3.9000    03/15/69    342,792 
                        5,324,395 
     BEVERAGES — 0.5%                    
 180,000   Anheuser-Busch InBev Worldwide, Inc.(g)        4.0000    04/13/28    206,682 
 40,000   Anheuser-Busch InBev Worldwide, Inc.        4.7500    01/23/29    48,118 
 200,000   Bacardi Ltd.(a)        4.7000    05/15/28    235,046 
                        489,846 
     BIOTECH & PHARMA — 0.5%                    
 50,000   Bausch Health Companies, Inc.(a)        5.7500    08/15/27    52,790 
 25,000   Mylan N.V.        3.9500    06/15/26    27,741 
 50,000   Par Pharmaceutical, Inc.(a)        7.5000    04/01/27    51,070 
 125,000   Teva Pharmaceutical Finance Netherlands III BV (g)        3.1500    10/01/26    120,106 
 150,681   Viatris, Inc.(a)        2.3000    06/22/27    155,065 
                        406,772 
     CABLE & SATELLITE — 0.4%                    
 40,000   CCO Holdings, LLC / CCO Holdings Capital(a)        4.7500    03/01/30    42,448 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate
(%)
   Maturity  Fair Value 
    CORPORATE BONDS — 33.3% (Continued)           
     CABLE & SATELLITE — 0.4% (Continued)       
 45,000   CCO Holdings, LLC / CCO Holdings Capital(a)      4.5000   08/15/30  $47,306 
 45,000   DIRECTV Holdings, LLC / DIRECTV Financing Company,(a)      5.8750   08/15/27   46,519 
 135,000   DISH DBS Corporation      5.0000   03/15/23   140,772 
 40,000   DISH DBS Corporation      7.7500   07/01/26   45,700 
 20,000   Radiate Holdco, LLC / Radiate Finance, Inc.(a)      4.5000   09/15/26   20,725 
                    343,470 
     CHEMICALS — 0.6%                
 190,000   Celanese US Holdings, LLC      3.5000   05/08/24   203,331 
 125,000   Chemours Co/The(a)      5.7500   11/15/28   132,834 
 215,000   Nutrition & Biosciences, Inc.(a), (g)      2.3000   11/01/30   220,061 
                    556,226 
     COMMERCIAL SUPPORT SERVICES — 0.3%                
 50,000   Aramark Services, Inc.(a)      6.3750   05/01/25   52,820 
 45,000   GFL Environmental Inc(a)      4.0000   08/01/28   44,527 
 135,000   GFL Environmental, Inc.(a)      3.7500   08/01/25   139,218 
                    236,565 
     CONSUMER SERVICES — 0.1%                
 65,000   Carriage Services, Inc.(a)      4.2500   05/15/29   65,000 
                      
     CONTAINERS & PACKAGING — 0.2%                
 200,000   Ardagh Packaging Finance plc / Ardagh Holdings(a)      4.1250   08/15/26   206,757 
                      
     DIVERSIFIED INDUSTRIALS — 0.2%                
 181,000   General Electric Company  Series D(c)  US0003M + 3.330%   3.4490   06/15/69   177,994 
                      
     ELECTRIC UTILITIES — 0.7%                
 130,000   Exelon Corporation      3.4970   06/01/22   133,079 
 238,000   Puget Energy, Inc.(a)      2.3790   06/15/28   243,329 
 244,000   Southern Company (The) (c)  H15T5Y + 2.915%   3.7500   09/15/51   249,282 
 60,000   Talen Energy Supply, LLC(a)      6.6250   01/15/28   53,402 
                    679,092 
     ENGINEERING & CONSTRUCTION — 0.1%                
 70,000   Dycom Industries, Inc.(a)      4.5000   04/15/29   70,966 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate
(%)
   Maturity  Fair Value 
     CORPORATE BONDS — 33.3% (Continued)
     ENTERTAINMENT CONTENT — 0.1%
 55,000   Diamond Sports Group, LLC / Diamond Sports Finance(a)      5.3750   08/15/26  $31,969 
 30,000   Diamond Sports Group, LLC / Diamond Sports Finance(a)      6.6250   08/15/27   11,945 
                    43,914 
     FORESTRY, PAPER & WOOD PRODUCTS — 0.2%                
 145,000   Louisiana-Pacific Corporation(a)      3.6250   03/15/29   146,596 
                      
     GAS & WATER UTILITIES — 0.2%                
 165,000   National Fuel Gas Company      2.9500   03/01/31   169,784 
                      
     HEALTH CARE FACILITIES & SERVICES — 0.9%                
 150,000   Anthem, Inc.      2.8750   09/15/29   161,850 
 45,000   Centene Corporation      4.6250   12/15/29   49,374 
 175,000   DaVita, Inc.(a)      4.6250   06/01/30   181,126 
 125,000   HCA, Inc.      5.2500   06/15/49   164,055 
 85,000   Jaguar Holding Company II / PPD Development, L.P.(a)      5.0000   06/15/28   91,704 
 45,000   Legacy LifePoint Health, LLC(a)      6.7500   04/15/25   47,708 
 80,000   Legacy LifePoint Health, LLC(a)      4.3750   02/15/27   80,466 
 10,000   Prime Healthcare Services, Inc.(a)      7.2500   11/01/25   10,756 
 15,000   Tenet Healthcare Corporation(a)      7.5000   04/01/25   16,144 
                    803,183 
     HOME CONSTRUCTION — 0.3%                
 105,000   M/I Homes, Inc.      4.9500   02/01/28   110,289 
 125,000   PulteGroup, Inc.      6.3750   05/15/33   168,713 
                    279,002 
     INDUSTRIAL SUPPORT SERVICES — 0.2%                
 200,000   Ashtead Capital, Inc.(a)      4.3750   08/15/27   210,000 
                      
     INSTITUTIONAL FINANCIAL SERVICES — 2.0%                
 160,000   Bank of New York Mellon Corporation (The) (c)  H15T5Y + 4.358%   4.7000   09/20/68   177,411 
 70,000   Bank of New York Mellon Corporation (The) (c)  US0003M + 3.420%   3.5540   12/20/68   70,276 
 370,000   Brookfield Finance, Inc.      2.7240   04/15/31   388,869 
 295,000   Goldman Sachs Group, Inc. (The)      4.2500   10/21/25   331,192 
 115,000   Jefferies Financial Group, Inc.      5.5000   10/18/23   123,098 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    CORPORATE BONDS — 33.3% (Continued)
     INSTITUTIONAL FINANCIAL SERVICES — 2.0% (Continued)
 120,000   Jefferies Group, LLC / Jefferies Group Capital        4.8500    01/15/27   $140,700 
 285,000   Morgan Stanley (g)        3.1250    07/27/26    310,133 
 175,000   Morgan Stanley        6.3750    07/24/42    271,513 
                        1,813,192 
     INSURANCE — 2.3%                    
 150,000   Allstate Corporation (The) (c)   US0003M + 2.938%    5.7500    08/15/53    162,668 
 185,000   Ascot Group Ltd.(a)        4.2500    12/15/30    195,831 
 220,000   Athene Global Funding(a)        2.4500    08/20/27    231,977 
 170,000   Brighthouse Financial, Inc.        5.6250    05/15/30    209,249 
 150,000   Fairfax Financial Holdings Ltd. B        4.8500    04/17/28    174,897 
 240,000   Liberty Mutual Group, Inc.(a)        4.5690    02/01/29    283,142 
 275,000   Lincoln National Corporation(c)   US0003M + 2.040%    2.1740    04/20/67    237,140 
 160,000   MetLife, Inc. (c)   H15T5Y + 3.576%    3.8500    03/15/69    167,800 
 76,000   MetLife, Inc. (c), (g)   US0003M + 2.959%    5.8750    09/15/66    89,032 
 70,000   Prudential Financial, Inc. (c), (g)   US0003M + 4.175%    5.8750    09/15/42    73,792 
 230,000   Prudential Financial, Inc. (c)   US0003M + 3.920%    5.6250    06/15/43    246,461 
 60,000   Trinity Acquisition plc        4.4000    03/15/26    67,974 
                        2,139,963 
     INTERNET MEDIA & SERVICES — 0.1%                    
 100,000   TripAdvisor, Inc.(a)        7.0000    07/15/25    106,892 
                          
     LEISURE FACILITIES & SERVICES — 0.7%                    
 45,000   Gateway Casinos & Entertainment Ltd.(a)        8.2500    03/01/24    45,130 
 45,000   Hilton Grand Vacations Borrower Escrow, LLC (a)        5.0000    06/01/29    45,464 
 200,000   International Game Technology plc(a)        4.1250    04/15/26    208,608 
 24,000   Marriott International, Inc.        2.8500    04/15/31    24,589 
 95,000   Marriott Ownership Resorts, Inc.        4.7500    01/15/28    96,254 
 135,000   Scientific Games International, Inc.(a), (g)        5.0000    10/15/25    138,673 
 50,000   Scientific Games International, Inc.(a)        8.2500    03/15/26    53,126 
 20,000   Scientific Games International, Inc.(a)        7.0000    05/15/28    21,591 
                        633,435 
     MEDICAL EQUIPMENT & DEVICES — 0.2%                    
 203,000   Illumina, Inc.        2.5500    03/23/31    210,141 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    CORPORATE BONDS — 33.3% (Continued)
     METALS & MINING — 1.0%
 145,000   Alliance Resource Operating Partners, L.P. (a)        7.5000    05/01/25   $146,639 
 160,000   Cleveland-Cliffs, Inc.(a)        6.7500    03/15/26    172,882 
 135,000   Freeport-McMoRan, Inc. (g)        5.4500    03/15/43    173,721 
 185,000   Glencore Funding, LLC(a)        2.8500    04/27/31    191,509 
 205,000   Teck Resources Ltd.        6.1250    10/01/35    268,054 
                        952,805 
     OIL & GAS PRODUCERS — 3.2%                    
 150,000   Aker BP ASA(a)        2.8750    01/15/26    159,396 
 155,000   Boardwalk Pipelines, L.P. B        4.9500    12/15/24    173,151 
 45,000   Cheniere Energy, Inc.        4.6250    10/15/28    47,573 
 135,000   Chesapeake Escrow Issuer, LLC B(a)        5.5000    02/01/26    141,118 
 75,000   CrownRock, L.P. / CrownRock Finance, Inc.(a)        5.6250    10/15/25    77,083 
 100,000   CrownRock, L.P. / CrownRock Finance, Inc.(a)        5.0000    05/01/29    104,700 
 185,000   Energy Transfer, L.P. (c)   H15T5Y + 5.694%    6.5000    11/15/69    190,330 
 15,000   EQM Midstream Partners, L.P.(a)        6.0000    07/01/25    16,355 
 20,000   EQM Midstream Partners, L.P.(a)        6.5000    07/01/27    22,476 
 35,000   EQM Midstream Partners, L.P.(a)        4.7500    01/15/31    35,662 
 245,000   Flex Intermediate Holdco, LLC(a)        3.3630    06/30/31    252,113 
 165,000   HollyFrontier Corporation        5.8750    04/01/26    191,269 
 70,000   Indigo Natural Resources, LLC(a)        5.3750    02/01/29    73,126 
 160,000   Kinder Morgan, Inc. (g)        4.3000    06/01/25    178,161 
 45,000   Kinder Morgan, Inc.        7.7500    01/15/32    66,041 
 5,000   Occidental Petroleum Corporation        5.5000    12/01/25    5,507 
 70,000   Parsley Energy, LLC / Parsley Finance Corporation(a)        4.1250    02/15/28    73,638 
 200,000   Pertamina Persero PT(a)        6.4500    05/30/44    261,215 
 85,000   Petroleos Mexicanos        6.5000    03/13/27    90,121 
 185,000   Petroleos Mexicanos        7.6900    01/23/50    180,051 
 200,000   Petronas Capital Ltd.(a)        3.5000    04/21/30    219,232 
 100,000   Sabine Pass Liquefaction, LLC        6.2500    03/15/22    102,097 
 65,000   Sabine Pass Liquefaction, LLC        4.2000    03/15/28    73,757 
 140,000   Targa Resources Partners, L.P. / Targa Resources        5.8750    04/15/26    146,650 
 10,000   Venture Global Calcasieu Pass, LLC(a)        3.8750    08/15/29    10,238 
                        2,891,060 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
         Spread    Coupon Rate
(%)
   Maturity   Fair Value 
     CORPORATE BONDS — 33.3% (Continued)
     OIL & GAS SERVICES & EQUIPMENT — 0.1%                       
 80,000   Patterson-UTI Energy, Inc.           5.1500    11/15/29   $82,801 
 26,800   Transocean Guardian Ltd.(a)           5.8750    01/15/24    25,427 
                           108,228 
     REAL ESTATE INVESTMENT TRUSTS — 2.2%                       
 260,000   American Assets Trust, L.P.           3.3750    02/01/31    273,276 
 200,000   Corporate Office Properties, L.P.           2.7500    04/15/31    204,861 
 220,000   EPR Properties           4.7500    12/15/26    237,570 
 155,000   GLP Capital, L.P. / GLP Financing II, Inc. (g)           5.7500    06/01/28    186,518 
 85,000   MPT Operating Partnership, L.P. / MPT Finance (g)           5.0000    10/15/27    90,088 
 25,000   MPT Operating Partnership, L.P. / MPT Finance           4.6250    08/01/29    26,948 
 130,000   MPT Operating Partnership, L.P. / MPT Finance (g)           3.5000    03/15/31    133,575 
 170,000   Office Properties Income Trust           4.5000    02/01/25    184,508 
 95,000   Retail Opportunity Investments Partnership, L.P.           5.0000    12/15/23    102,785 
 105,000   Retail Opportunity Investments Partnership, L.P.           4.0000    12/15/24    112,474 
 225,000   Retail Properties of America, Inc.           4.7500    09/15/30    254,197 
 165,000   Service Properties Trust(g)           4.9500    02/15/27    162,320 
                           1,969,120 
     RETAIL - CONSUMER STAPLES — 0.2%                       
 85,000   Albertsons Companies Inc / Safeway Inc / New(a)           3.2500    03/15/26    87,314 
 105,000   Albertsons Companies Inc / Safeway Inc / New(a)           4.6250    01/15/27    111,222 
 15,000   Albertsons Companies Inc / Safeway Inc / New(a)           3.5000    03/15/29    15,171 
                           213,707 
     RETAIL - DISCRETIONARY — 0.3%                       
 185,000   American Builders & Contractors Supply Company,(a)           4.0000    01/15/28    189,856 
 5,000   LCM Investments Holdings II, LLC(a)           4.8750    05/01/29    5,133 
 75,000   QVC, Inc.           4.3750    03/15/23    78,922 
                           273,911 
     SEMICONDUCTORS — 0.7%                       
 180,000   Broadcom, Inc.           4.1500    11/15/30    204,103 
 148,000   Broadcom, Inc.(a), (g)           2.4500    02/15/31    147,381 
 270,000   SK Hynix, Inc.(a)           1.5000    01/19/26    268,383 
                           619,867 
     SOFTWARE — 0.3%                       
 265,000   Citrix Systems, Inc.           3.3000    03/01/30    282,240 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    CORPORATE BONDS — 33.3% (Continued)            
     SOFTWARE — 0.3% (Continued)
 25,000   Elastic N.V.(a)        4.1250    07/15/29   $25,126 
                        307,366 
     SPECIALTY FINANCE — 1.5%                    
 150,000   AerCap Ireland Capital DAC / AerCap Global        3.6500    07/21/27    161,153 
 224,000   Ally Financial, Inc.  Series B(c)   H15T5Y + 3.868%    4.7000    08/15/69    234,864 
 50,000   Aviation Capital Group, LLC(a)        3.8750    05/01/23    52,365 
 145,000   Aviation Capital Group, LLC(a)        3.5000    11/01/27    154,128 
 125,000   Avolon Holdings Funding Ltd.(a)        4.3750    05/01/26    137,692 
 120,000   Capital One Financial Corporation        4.2000    10/29/25    134,655 
 182,000   Capital One Financial Corporation(c)   SOFRRATE + 1.337%    2.3590    07/29/32    183,701 
 65,000   Discover Financial Services(c)   H15T5Y + 5.783%    6.1250    03/23/69    73,454 
 125,000   Ladder Capital Finance Holdings LLLP / Ladder(a)        4.2500    02/01/27    124,949 
 70,000   OneMain Finance Corporation        6.8750    03/15/25    79,581 
 25,000   OneMain Finance Corporation        7.1250    03/15/26    29,469 
                        1,366,011 
     TECHNOLOGY HARDWARE — 1.8%                    
 155,000   Dell International, LLC / EMC Corporation (g)        8.1000    07/15/36    241,242 
 94,000   Flex Ltd.        3.7500    02/01/26    103,135 
 240,000   Hewlett Packard Enterprise Company        4.9000    10/15/25    274,533 
 255,000   HP, Inc.        3.4000    06/17/30    274,000 
 94,000   Motorola Solutions, Inc.        4.6000    02/23/28    110,166 
 50,000   Motorola Solutions, Inc.        4.6000    05/23/29    59,087 
 100,000   NCR Corporation(a), (g)        5.1250    04/15/29    104,227 
 280,000   SYNNEX Corporation(a)        2.3750    08/09/28    280,813 
 140,000   Xerox Holdings Corporation(a)        5.5000    08/15/28    147,879 
                        1,595,082 
     TECHNOLOGY SERVICES — 0.6%                    
 245,000   Leidos, Inc.        2.3000    02/15/31    243,672 
 160,000   Science Applications International Corporation(a)        4.8750    04/01/28    168,145 
 135,000   Square, Inc.(a)        3.5000    06/01/31    140,255 
                        552,072 
     TELECOMMUNICATIONS — 1.1%                    
 170,000   Level 3 Financing, Inc.(a)        4.2500    07/01/28    173,294 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    CORPORATE BONDS — 33.3% (Continued)
     TELECOMMUNICATIONS — 1.1% (Continued)
 25,000   Sprint Spectrum Company, LLC Series 2016-1(a)        3.3600    09/20/21   $25,103 
 187,500   Sprint Spectrum Company, LLC / Sprint Spectrum(a)        4.7380    03/20/25    201,044 
 55,000   Telesat Canada / Telesat, LLC(a)        5.6250    11/06/26    51,081 
 85,000   Telesat Canada / Telesat, LLC(a)        6.5000    10/15/27    70,338 
 265,000   T-Mobile USA, Inc.        3.8750    04/15/30    300,117 
 85,000   Verizon Communications, Inc.(c)   US0003M + 1.100%    1.2560    05/15/25    87,537 
 123,000   Verizon Communications, Inc. (g)        2.5500    03/21/31    127,803 
                        1,036,317 
     TOBACCO & CANNABIS — 0.5%                    
 195,000   BAT Capital Corporation        4.9060    04/02/30    226,883 
 190,000   Vector Group Ltd.(a)        5.7500    02/01/29    193,610 
                        420,493 
     TRANSPORTATION & LOGISTICS — 0.2%                    
 60,000   American Airlines, Inc./AAdvantage Loyalty IP Ltd.(a),(g)        5.7500    04/20/29    64,811 
 135,000   United Airlines, Inc.(a), (g)        4.6250    04/15/29    139,449 
                        204,260 
                          
     TOTAL CORPORATE BONDS (Cost $29,136,352)                  30,440,743 
                          
     MUNICIPAL BONDS — 2.4%                    
     CITY — 0.6%                    
 340,000   City of Bristol VA        4.2100    01/01/42    366,416 
 145,000   City of San Antonio TX        1.9630    02/01/33    147,926 
                        514,342 
     GOVERNMENT LEASE — 0.2%                    
 145,000   Texas Public Finance Authority        2.1400    02/01/35    144,547 
                          
     HIGHER EDUCATION — 0.1%                    
 115,000   University of California        4.4280    05/15/48    128,301 
                          
     HOSPITALS — 0.2%                    
 135,000   Idaho Health Facilities Authority        5.0200    03/01/48    176,813 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    MUNICIPAL BONDS — 2.4% (Continued)
     LOCAL AUTHORITY — 1.1%                    
 325,000   San Diego County Regional Airport Authority        5.5940    07/01/43   $365,292 
 600,000   State of Texas        3.2110    04/01/44    644,812 
 35,000   Texas Transportation Commission State Highway Fund        4.0000    10/01/33    43,490 
                        1,053,594 
     SALES TAX — 0.0%(d)                    
 20,000   Sales Tax Securitization Corporation        3.4110    01/01/43    22,262 
                          
     WATER AND SEWER — 0.2%                    
 160,000   Santa Clara Valley Water District        2.9670    06/01/50    161,984 
                          
     TOTAL MUNICIPAL BONDS (Cost $2,027,786)                  2,201,843 
                          
     NON U.S. GOVERNMENT & AGENCIES — 1.8%                    
     SOVEREIGN — 1.8%                    
 200,000   Brazilian Government International Bond        3.8750    06/12/30    201,980 
 200,000   Emirate of Dubai Government International Bonds        5.2500    01/30/43    226,482 
 200,000   Mexico Government International Bond(g)        2.6590    05/24/31    197,062 
 200,000   Oman Government International Bond(a)        7.3750    10/28/32    229,392 
 200,000   Qatar Government International Bond(a)        4.4000    04/16/50    247,179 
 200,000   Saudi Government International Bond(a)        3.2500    10/22/30    216,947 
 325,000   Turkey Government International Bond        5.8750    06/26/31    319,001 
     TOTAL NON U.S. GOVERNMENT & AGENCIES (Cost $1,663,932)    1,638,043 
                          
     TERM LOANS — 10.4%                    
     AEROSPACE & DEFENSE — 0.2%                    
 27,541   AI Convoy Luxembourg Sarl(c)   US0006M + 3.500%    4.5000    01/20/27    27,555 
 207,823   TransDigm, Inc.(c)   US0001M + 2.250%    2.3420    05/30/25    204,400 
                        231,955 
     ASSET MANAGEMENT — 0.0%(d)                    
 15,000   Zebra Buyer, LLC(c)   US0001M + 3.250%    0.0000    04/22/28    15,032 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    TERM LOANS — 10.4% (Continued)
    AUTOMOTIVE — 0.1%            
 143,231   Cooper-Standard Automotive, Inc.(c)   US0001M + 2.000%    2.7500    11/02/23   $140,008 
                          
     BIOTECH & PHARMA — 0.2%                    
 22,500   Bausch Health Americas, Inc.(c)   US0001M + 2.750%    2.8420    11/27/25    22,303 
 7,224   Bausch Health Americas, Inc.(c)   US0001M + 3.000%    3.0920    06/01/25    7,182 
 125,000   HCRX Investments Holdco, L.P.(c)   US0001M + 2.250%    0.0000    07/15/28    124,668 
                        154,153 
     CABLE & SATELLITE — 0.3%                    
 64,345   Charter Communications Operating, LLC(c)   US0001M + 1.750%    1.8420    02/01/27    63,682 
 98,985   CSC Holdings, LLC(c)   US0001M + 2.250%    2.3431    01/15/26    97,438 
 17,771   Radiate Holdco, LLC(c)   US0001M + 3.500%    4.2500    09/25/26    17,725 
 85,000   UPC Financing Partnership(c)   US0001M + 3.000%    3.0931    01/31/29    84,256 
 20,000   Virgin Media Bristol, LLC(c)   US0001M + 3.250%    3.3431    01/31/29    19,936 
                        283,037 
     CHEMICALS — 1.0%                    
 195,000   Diamond BC BV(c)   US0003M + 3.000%    3.0920    09/06/24    193,659 
 44,414   Gemini HDPE, LLC(c)   US0003M + 3.000%    3.5000    12/31/27    44,303 
 233,667   INEOS US Finance, LLC(c)   US0003M + 2.000%    2.1103    03/31/24    230,786 
 135,000   INEOS US Petrochem, LLC(c)   US0001M + 2.750%    3.2500    01/29/26    134,798 
 133,105   Nouryon USA, LLC(c)   US0001M + 2.750%    2.8352    10/01/25    131,644 
 150,000   Trinseo Materials Operating SCA(c)   US0001M + 2.500%    2.5920    05/03/28    148,813 
                        884,003 
     COMMERCIAL SUPPORT SERVICES — 0.3%                    
 204,488   AlixPartners LLP(c)   US0001M + 2.750%    3.2500    02/04/28    203,394 
 24,688   Aramark Services, Inc.(c)   US0001M + 1.750%    1.8504    01/15/27    24,286 
 75,079   CHG Healthcare Services, Inc.(c)   US0003M + 3.000%    4.0000    06/07/23    75,032 
                        302,712 
     CONSTRUCTION MATERIALS — 0.6%                    
 180,087   CPG International, LLC(c)   US0003M + 2.500%    3.2500    05/05/24    179,997 
 140,000   Quikrete Holdings, Inc.(c)   US0001M + 3.000%    0.0000    06/11/28    138,688 
 186,765   Summit Materials, LLC(c)   US0001M + 2.000%    2.0920    11/21/24    186,396 
                        505,081 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    TERM LOANS — 10.4% (Continued)
     CONTAINERS & PACKAGING — 0.4%                    
 150,837   Berry Global, Inc.(c)   US0001M + 1.750%    1.8504    07/01/26   $149,248 
 180,000   Reynolds Group Holdings, Inc.(c)   US0001M + 2.750%    2.8420    02/05/23    179,614 
                        328,862 
     ELECTRIC UTILITIES — 0.2%                    
 123,852   Astoria Energy, LLC(c)   US0003M + 3.500%    4.5000    12/10/27    123,687 
 98,000   Calpine Corporation(c)   US0001M + 2.000%    2.0920    04/01/26    96,500 
                        220,187 
     ELECTRICAL EQUIPMENT — 0.2%                    
 187,009   Brookfield WEC Holdings, Inc.(c)   US0001M + 2.750%    3.2500    08/01/25    184,625 
 9,875   Ingersoll-Rand Services Company(c)   US0001M + 1.750%    1.8420    02/28/27    9,709 
                        194,334 
     FOOD — 0.5%                    
 99,487   CHG PPC Parent, LLC(c)   US0001M + 2.750%    2.8420    03/30/25    98,119 
 179,089   Hostess Brands, LLC(c)   US0001M + 2.250%    3.0000    08/03/25    178,342 
 179,084   JBS USA LUX S.A.(c)   US0001M + 2.000%    2.0920    05/01/26    177,350 
                        453,811 
     HEALTH CARE FACILITIES & SERVICES — 0.4%                    
 4,986   Indigo Merger Sub, Inc.(c)   US0003M + 2.500%    3.0000    07/04/28    4,982 
 106,700   IQVIA, Inc.(c)   US0003M + 1.750%    1.8973    06/11/25    105,666 
 131,596   Legacy LifePoint Health, LLC(c)   US0001M + 3.750%    3.8420    11/16/25    130,647 
 124,688   PPD, Inc.(c)   US0001M + 2.250%    2.7500    01/06/28    124,521 
                        365,816 
     HOME & OFFICE PRODUCTS — 0.1%                    
 74,625   Weber-Stephen Products, LLC(c)   US0001M + 3.250%    4.3015    10/30/27    74,544 
                          
     INDUSTRIAL INTERMEDIATE PROD — 0.2%                    
 179,100   Gates Global, LLC(c)   US0001M + 2.750%    3.5000    03/31/27    178,214 
                          
     INDUSTRIAL SUPPORT SERVICES — 0.1%                    
 89,775   Resideo Funding, Inc.(c)   US0003M + 2.250%    2.7500    02/09/28    89,495 
                          
     INSTITUTIONAL FINANCIAL SERVICES — 0.2%                    
 194,513   Citadel Securities, L.P.(c)   US0001M + 2.500%    2.5920    02/02/28    191,456 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    TERM LOANS — 10.4% (Continued)
    INSURANCE — 0.2%            
 202,109   Sedgwick Claims Management Services, Inc.(c)   US0001M + 3.250%    3.3420    12/31/25   $199,217 
                          
     INTERNET MEDIA & SERVICES — 0.1%                    
 27,143   Pug, LLC(c)   US0001M + 4.250%    4.7500    02/12/27    26,990 
 64,025   Pug, LLC(c)   US0001M + 3.500%    3.5920    02/13/27    62,745 
                        89,735 
     LEISURE FACILITIES & SERVICES — 0.8%                    
 14,850   Aristocrat International Pty Ltd.(c)   US0003M + 3.750%    4.7500    10/19/24    14,880 
 140,000   Caesars Resort Collection, LLC(c)   US0001M + 2.750%    2.8420    12/22/24    138,620 
 179,067   CityCenter Holdings, LLC(c)   US0001M + 2.250%    3.0000    04/18/24    178,759 
 25,000   Hilton Grand Vacations Borrower, LLC(c)   US0001M + 3.000%    0.0000    05/20/28    24,944 
 180,000   Hilton Worldwide Finance, LLC(c)   US0001M + 1.750%    1.8393    06/21/26    177,984 
 134,663   Playtika Holding Corporation(c)   US0001M + 2.750%    2.8420    03/11/28    133,880 
 39,498   Station Casinos, LLC(c)   US0001M + 2.250%    2.5000    02/08/27    38,906 
                        707,973 
     LEISURE PRODUCTS — 0.1%                    
 49,545   SRAM, LLC(c)   US0003M + 2.750%    3.2500    05/18/28    49,360 
                          
     MACHINERY — 0.4%                    
 152,799   Alliance Laundry Systems, LLC(c)   US0003M + 3.500%    4.2500    09/30/27    152,870 
 80,707   Seminole Tribe of Florida, Inc.(c)   US0001M + 1.750%    1.8420    07/06/24    80,650 
 133,949   Star US Bidco, LLC(c)   US0001M + 4.250%    5.2500    03/17/27    134,242 
                        367,762 
     MEDICAL EQUIPMENT & DEVICES — 0.1%                    
 105,745   Greatbatch Ltd.(c)   US0001M + 2.500%    3.5000    10/27/22    105,767 
                          
     OIL & GAS PRODUCERS — 0.2%                    
 24,688   Buckeye Partners, L.P.(c)   US0001M + 2.250%    2.3458    11/01/26    24,492 
 57,922   CITGO Petroleum Corporation(c)   US0003M + 6.250%    7.2500    03/27/24    58,166 
 50,000   DT Midstream, Inc.(c)   US0001M + 2.000%    2.5000    06/10/28    49,933 
                        132,591 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    TERM LOANS — 10.4% (Continued)
     PUBLISHING & BROADCASTING — 0.1%                    
 118,333   Nexstar Broadcasting, Inc.(c)   US0001M + 2.500%    2.5958    09/19/26   $117,364 
                          
     RETAIL - DISCRETIONARY — 0.3%                    
 184,275   Harbor Freight Tools USA, Inc.(c)   US0001M + 2.750%    3.2500    10/20/27    183,670 
 90,000   PetSmart, Inc.(c)   US0003M + 3.750%    4.5000    02/12/28    90,079 
                        273,749 
     SEMICONDUCTORS — 0.1%                    
 54,656   Ultra Clean Holdings, Inc.(c)   US0001M + 3.750%    3.8420    08/27/25    54,770 
                          
     SOFTWARE — 0.5%                    
 113,368   Applied Systems, Inc.(c)   US0003M + 3.250%    3.7500    09/19/24    113,117 
 142,999   Boxer Parent Company, Inc.(c)   US0001M + 3.750%    3.8420    10/02/25    141,991 
 124,375   Sophia, L.P.(c)   US0003M + 3.750%    4.5000    09/23/27    124,442 
 64,576   UKG, Inc.(c)   US0003M + 3.250%    4.0000    05/03/26    64,622 
                        444,172 
     SPECIALTY FINANCE — 0.1%                    
 74,625   Avolon TLB Borrower 1 US, LLC(c)   US0001M + 2.500%    3.2500    12/01/27    74,718 
                          
     TECHNOLOGY HARDWARE — 0.1%                    
 63,499   Dell International, LLC(c)   US0001M + 1.750%    2.0000    09/20/25    63,478 
                          
     TECHNOLOGY SERVICES — 0.7%                    
 168,354   Dun & Bradstreet Corporation (The)(c)   US0001M + 3.250%    3.3361    02/06/26    167,143 
 20,014   ICON Luxembourg Sarl(c)   US0003M + 2.500%    3.0000    07/04/28    19,996 
 89,775   Peraton Corporation(c)   US0001M + 3.750%    4.5000    02/01/28    89,831 
 195,000   Tenable, Inc.(c)   US0003M + 2.750%    3.2500    07/08/28    194,268 
 194,513   WEX, Inc.(c)   US0001M + 2.250%    2.3420    04/01/28    192,689 
                        663,927 
     TELECOMMUNICATIONS — 0.4%                    
 39,388   CenturyLink, Inc.(c)   US0001M + 2.250%    2.3420    03/15/27    38,817 
 32,130   Consolidated Communications, Inc.(c)   US0001M + 3.500%    4.2500    10/02/27    32,062 
 178,417   SBA Senior Finance II, LLC(c)   US0001M + 1.750%    1.8420    04/11/25    176,821 
 135,717   Zayo Group Holdings, Inc.(c)   US0001M + 3.000%    3.0920    03/09/27    133,694 
                        381,394 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread   Coupon Rate
(%)
   Maturity   Fair Value 
    TERM LOANS — 10.4% (Continued)
     TRANSPORTATION & LOGISTICS — 1.2%                    
 135,000   AAdvantage Loyalty IP Ltd.(c)   US0003M + 4.750%    5.5000    04/20/28   $138,999 
 24,706   Air Canada(c)   US0001M + 3.250%    0.0000    07/27/28    24,778 
 173,323   Brown Group Holding, LLC(c)   US0003M + 2.750%    3.2500    06/07/28    172,312 
 179,093   Genesee & Wyoming, Inc.(c)   US0003M + 2.000%    2.1473    12/30/26    177,660 
 185,000   KKR Apple Bidco, LLC(c)   US0001M + 3.000%    0.0000    07/13/28    183,931 
 120,000   Mileage Plus Holdings, LLC(c)   US0003M + 5.250%    6.2500    06/20/27    127,381 
 104,738   PODS, LLC(c)   US0001M + 3.000%    3.7500    03/31/28    104,345 
 175,000   SkyMiles IP Ltd.(c)   US0003M + 3.750%    4.7500    10/20/27    185,111 
                        1,114,517 
                          
     TOTAL TERM LOANS (Cost $9,470,010)                  9,453,194 
                          
     U.S. GOVERNMENT & AGENCIES — 19.5%                    
     AGENCY FIXED RATE — 0.9%                    
 11,551   Fannie Mae Pool 735061        6.0000    11/01/34    13,729 
 11,998   Fannie Mae Pool 866009        6.0000    03/01/36    14,248 
 104,117   Fannie Mae Pool 938574        5.5000    09/01/36    120,747 
 35,134   Fannie Mae Pool 310041        6.5000    05/01/37    42,152 
 16,627   Fannie Mae Pool 962752        5.0000    04/01/38    19,031 
 16,974   Fannie Mae Pool 909175        5.5000    04/01/38    19,456 
 59,968   Fannie Mae Pool 909220        6.0000    08/01/38    70,522 
 99,942   Fannie Mae Pool AA7001        5.0000    06/01/39    114,357 
 86,639   Fannie Mae Pool AS7026        4.0000    04/01/46    93,952 
 134,664   Fannie Mae Pool BJ9260        4.0000    04/01/48    144,375 
 112,207   Freddie Mac Gold Pool G01980        5.0000    12/01/35    128,099 
 16,535   Freddie Mac Gold Pool G05888        5.5000    10/01/39    19,419 
                        800,087 
     U.S. TREASURY BILLS — 5.6%                    
 535,000   United States Treasury Bill        0.3750    09/30/27    518,584 
 730,000   United States Treasury Bill        0.8750    11/15/30    708,556 
 2,335,000   United States Treasury Bill        1.6250    05/15/31    2,418,003 
 1,455,000   United States Treasury Bill(g)        1.8750    02/15/51    1,443,405 
                        5,088,548 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Coupon Rate
(%)
   Maturity   Fair Value 
     U.S. GOVERNMENT & AGENCIES — 19.5% (Continued)
     U.S. TREASURY BONDS — 6.5%               
 590,000   United States Treasury Bond   3.0000    08/15/48   $729,088 
 1,280,000   United States Treasury Bond   2.8750    05/15/49    1,552,700 
 1,440,000   United States Treasury Bond   2.0000    02/15/50    1,469,081 
 2,500,000   United States Treasury Bond   1.3750    08/15/50    2,195,801 
                   5,946,670 
     U.S. TREASURY NOTES — 6.5%               
 1,010,000   United States Treasury Note   0.1250    05/31/22    1,010,436 
 2,505,000   United States Treasury Note(g)   2.6250    02/15/29    2,789,161 
 770,000   United States Treasury Note   1.5000    02/15/30    791,927 
 1,415,000   United States Treasury Note(g)   1.1250    02/15/31    1,401,955 
                   5,993,479 
                     
     TOTAL U.S. GOVERNMENT & AGENCIES (Cost $17,795,233)             17,828,784 
                     
     COLLATERAL FOR SECURITIES LOANED – 11.1%               
 10,108,703   Mount Vernon Prime Portfolio (Cost $10,108,703) (e),(h)   0.1000         10,108,703 
                     
     TOTAL INVESTMENTS – 109.7% (Cost $98,483,161)            $100,227,189 
     LIABILITIES IN EXCESS OF OTHER ASSETS– (9.7)%             (8,854,561)
     NET ASSETS - 100.0%            $91,372,628 

 

ETF  - Exchange-Traded Fund
   
LLC  - Limited Liability Company
   
LP  - Limited Partnership
   
LTD  - Limited Company
   
NV  - Naamioze Vennootschap
   
PLC  - Public Limited Company
   
S/A  - Société Anonyme
   
H15T10Y US Treasury Yield Curve Rate T Note Constant Maturity 10 Year
   
H15T5Y US Treasury Yield Curve Rate T Note Constant Maturity 5 Year
   
SOFR30A United States 30 Day Average SOFR Secured Overnight Financing Rate
   
SOFRRATE United States SOFR Secured Overnight Financing Rate
   
US0001M ICE LIBOR USD 1 Month
   
US0003M ICE LIBOR USD 3 Month
   
US0006M ICE LIBOR USD 6 Month
   
USSW5 USD SWAP SEMI 30/360 5YR
 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

(a) Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers.  As of July 31, 2021, the total market value of 144A securities is 37,389,755 or 40.9% of net assets.
   
(b) Step bond.  Coupon rate is fixed rate that changes on a specified date.  The rate shown is the current rate on July 31, 2021.
   
(c) Variable rate security: the rate shown represents the rate on July 31, 2021.
   
(d) Percentage rounds to less than 0.1%.
   
(e) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(f) Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets.
   
(g) All or a portion of these securities are on loan. Total loaned securities had a value of $9,929,460 on July 31, 2021.
   
(h) The Trust’s securities lending policies and procedures require that the borrower. (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS - 0.4%     
     METALS & MINING - 0.1%     
 23,114   Covia Holdings, LLC (a)  $223,917 
           
     PUBLISHING & BROADCASTING - 0.1%     
 40,131   Clear Channel Outdoor Holdings, Inc. (a)   106,748 
 2,133   iHeartMedia, Inc. - Class A (a)   55,138 
         161,886 
     RETAIL - DISCRETIONARY - 0.2%     
 17,244   Libbey Glass, Inc. (a)   81,909 
 1,963   NMG Parent, LLC (a)   279,728 
         361,637 
     TOTAL COMMON STOCKS (Cost - $1,929,997)   747,440 
           
     EXCHANGE TRADED FUNDS - 0.7%     
     FIXED INCOME FUNDS - 0.7%     
 20,495   Invesco Senior Loan ETF (e)   451,505 
 33,710   SPDR Bloomberg Barclays Short Term High Yield Bond ETF (e)   925,339 
     TOTAL EXCHANGE TRADED FUNDS - (Cost - $1,373,131)   1,376,844 

 

Principal      Coupon       
Amount ($)      Rate (%)  Maturity    
     CORPORATE BONDS - 3.4%           
     AEROSPACE/DEFENSE - 0.1%           
 160,000   Spirit AeroSystems, Inc. (c)  5.5000  1/15/2025   168,200 
                 
     ASSET MANAGEMENT - 0.2%           
 360,000   Icahn Enterprises, L.P. / Icahn Enterprises Finance Corporation  4.7500  9/15/2024   375,650 
                 
     BIOTECH & PHARMA - 0.2%           
 445,000   Bausch Health Companies, Inc. (c)  5.5000  11/01/2025   455,033 
                 
     CABLE & SATELLITE - 0.3%           
 180,000   CCO Holdings, LLC / CCO Holdings Capital Corporation (c)  4.0000  3/01/2023   181,928 
 235,000   Radiate Holdco, LLC / Radiate Finance, Inc. (c)  4.5000  9/15/2026   243,521 
 85,000   Sirius XM Radio, Inc. (c)  4.6250  7/15/2024   87,125 
               512,574 
     CHEMICALS - 0.1%           
 230,000   INEOS Quattro Finance 2 plc (c)  3.3750  1/15/2026   231,554 
                 
     CONTAINERS & PACKAGING - 0.4%           
 475,000   Ardagh Packaging Finance plc / Ardagh Holdings USA, Inc. (c)  4.1250  8/15/2026   491,048 
 200,000   Ardagh Packaging Finance plc / Ardagh Holdings USA, Inc. (c)  5.2500  8/15/2027   204,477 
               695,525 
     ENTERTAINMENT CONTENT - 0.1%           
 210,000   Diamond Sports Group, LLC / Diamond Sports Finance Company (c)(e)  5.3750  8/15/2026   122,063 
                 
     FOOD - 0.1%           
 175,000   Dole Food Company, Inc. (c)(e)  7.2500  6/15/2025   179,262 
                 
     HEALTH CARE FACILITIES & SERVICES - 0.5%           
 215,000   CHS / Community Health Systems, Inc. (c)  6.6250  2/15/2025   225,750 
 75,000   CHS / Community Health Systems, Inc. (c)  6.1250  4/01/2030   76,078 
 5,000   Legacy LifePoint Health, LLC (c)  6.7500  4/15/2025   5,301 
 135,000   Legacy LifePoint Health, LLC (c)  4.3750  2/15/2027   135,786 
 405,000   Tenet Healthcare Corporation  4.6250  7/15/2024   411,069 
 50,000   Tenet Healthcare Corporation (c)  7.5000  4/01/2025   53,813 
               907,797 
     HOUSEHOLD PRODUCTS - 0.0% (h)           
 5,000   Kronos Acquisition Holdings, Inc. / KIK Custom Products, Inc. (c)  5.0000  12/31/2026   5,087 
                 
     INSURANCE - 0.1%           
 190,000   Acrisure, LLC / Acrisure Finance, Inc. (c)  4.2500  2/15/2029   185,678 
                 
     LEISURE FACILITIES & SERVICES - 0.3%           
 80,000   Caesars Entertainment, Inc. (c)  6.2500  7/01/2025   84,582 
 32,000   Carnival Corporation (c)  11.5000  4/01/2023   36,120 
 8,000   Carnival Corporation (c)  4.0000  8/01/2028   7,990 
 360,000   International Game Technology plc (c)(e)  4.1250  4/15/2026   375,496 
 150,000   NCL Corporation Ltd. (c)  5.8750  3/15/2026   151,312 
               655,500 
     METALS & MINING - 0.0% (h)           
 50,000   Cleveland-Cliffs, Inc. (c)  6.7500  3/15/2026   54,026 
                 
     PUBLISHING & BROADCASTING - 0.4%           
 65,000   Clear Channel Worldwide Holdings, Inc. (c)  5.1250  8/15/2027   66,843 
 96,514   iHeartCommunications, Inc.  6.3750  5/01/2026   101,943 
 174,933   iHeartCommunications, Inc.  8.3750  5/01/2027   186,303 
 510,000   Mav Acquisition Corporation (c)  5.7500  8/01/2028   508,824 
               863,913 

 

See accompanying notes which are an integral part of these financial statements.

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal            Coupon        
Amount ($)      Spread     Rate (%)   Maturity  Fair Value 
     CORPORATE BONDS - 3.4% (Continued)               
     REITS - 0.3%               
 460,000   iStar, Inc.          4.2500   8/01/2025  $478,285 
 60,000   MGM Growth Properties Operating Partnership, L.P. / MGP Finance Co-Issuer, Inc. (c)   4.6250   6/15/2025   63,928 
                       542,213 
     RETAIL - DISCRETIONARY - 0.1%                   
 55,000   Magic MergerCo, Inc. (c)         5.2500   5/01/2028   56,996 
 230,000   SRS Distribution, Inc. (c)         4.6250   7/01/2028   234,887 
                       291,883 
     SPECIALTY FINANCE - 0.1%                   
 140,000   Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corporation (c)         4.2500   2/01/2027   139,943 
                         
     TELECOMMUNICATIONS - 0.0% (h)                   
 45,000   Level 3 Financing, Inc. (c)         4.2500   7/01/2028   45,872 
 25,000   Telesat Canada / Telesat, LLC (c)         5.6250   11/06/2026   23,219 
                       69,091 
     TRANSPORTATION & LOGISTICS - 0.1%                   
 110,000   American Airlines, Inc. / AAdvantage Loyalty IP Ltd. (c)(e)         5.5000   4/20/2026   115,225 
 45,000   American Airlines, Inc. / AAdvantage Loyalty IP Ltd. (c)(e)         5.7500   4/20/2029   48,609 
 35,000   United Airlines, Inc. (c)(e)         4.3750   4/15/2026   36,055 
 35,000   United Airlines, Inc. (c)(e)         4.6250   4/15/2029   36,153 
                       236,042 
     TOTAL CORPORATE BONDS (Cost - $6,629,512)             6,691,034 
                         
     TERM LOANS - 98.1%                   
     BASIC MATERIALS - 5.9%                   
 958,106   Acuity Specialty Products, Inc. (aka Zep, Inc.), Initial Term Loan (First Lien)  LIBOR + 4.000  %   5.0000 (g)  8/11/2024   933,195 
 443,888   Aruba Investments Holdings, LLC, Initial Dollar Term Loan (First Lien)  LIBOR + 4.000  %   4.7500 (g)  11/24/2027   445,832 
 221,077   Ascend Performance Materials Operations LLC, 2021 Refinancing Term Loan  LIBOR + 4.750  %   5.5000 (g)  8/27/2026   224,484 
 832,874   Covia Holdings LLC, Initial Term Loan  LIBOR + 4.000  %   5.0000 (g)  7/31/2026   822,205 
 903,150   CPC Acquisition Corporation (aka Innovative Chemical Products), Initial Term Loan (First Lien)  LIBOR + 3.750  %   4.5000 (g)  12/29/2027   899,763 
 1,518,724   Diamond (BC) B.V. (aka Diversey), Initial USD Term Loan  LIBOR + 3.000  %   3.0920 (g)  9/06/2024   1,508,283 
 510,000   Herens Holdco S.a r.l., Facility B (USD)  LIBOR + 4.000  %   4.7500 (g)  5/14/2028   510,638 
 563,500   Hexion, Inc., USD Term Loan  LIBOR + 3.500  %   3.6449 (g)  7/01/2026   563,618 
 520,000   INEOS Styrolution Group GmbH, 2026 Tranche B Dollar Term Loan  LIBOR + 2.750  %   3.2500 (g)  1/29/2026   519,220 
 2,362,621   Ineos US Finance LLC, New 2024 Dollar Term Loan  LIBOR + 2.000  %   2.1102 (g)  3/31/2024   2,333,502 
 708,756   Innophos Holdings, Inc., Initial Term Loan  LIBOR + 3.500  %   3.5920 (g)  2/07/2027   708,313 
 1,619,410   Nouryon Finance B.V. (aka AkzoNobel), Initial Dollar Term Loan  LIBOR + 2.750  %   2.8352 (g)  10/01/2025   1,601,629 
 525,000   Trinseo Materials Operating S.C.A. (fka Styron S.A.R.L), 2021 Incremental Term Loan  LIBOR + 2.500  %   2.5920 (g)  5/03/2028   520,845 
                       11,591,527 
     COMMUNICATIONS - 14.6%                   
 142,188   Acuris Finance US, Inc., Initial Dollar Term Loan  LIBOR + 4.000  %   4.5000 (g)  2/16/2028   142,710 
 228,538   Altice France S.A., USD TLB-13 Incremental Term Loan  LIBOR + 4.000  %   4.1559 (g)  8/14/2026   228,300 
 312,644   Aventiv Technologies, LLC, Initial Term Loan (First Lien)  LIBOR + 4.500  %   5.5000 (g)  11/01/2024   292,342 
 605,425   Barracuda Networks, Inc., 2020 Term Loan (First Lien)  LIBOR + 3.750  %   4.5000 (g)  2/12/2025   607,002 
 1,314,760   Charter Communications Operating, LLC (aka CCO Safari LLC), Term B-2 Loan  LIBOR + 1.750  %   1.8420 (g)  2/01/2027   1,301,204 
 831,546   Clear Channel Outdoor Holdings, Inc., Term B Loan  LIBOR + 3.500  %   3.6285 (g)  8/21/2026   808,765 
 658,350   CNT Holdings I Corporation, Initial Term Loan (First Lien)  LIBOR + 3.750  %   4.5000 (g)  11/08/2027   657,836 
 546,214   Consolidated Communications, Inc., Term B-1 Loan  LIBOR + 3.500  %   4.2500 (g)  10/02/2027   545,053 
 1,715,976   CSC Holdings, LLC (fka CSC Holdings, Inc. (Cablevision)), March 2017 Refinancing Term Loan  LIBOR + 2.250  %   2.3431 (g)  7/17/2025   1,693,094 
 370,500   CSC Holdings, LLC (fka CSC Holdings, Inc. (Cablevision)), October 2018 Incremental Term Loan  LIBOR + 2.250  %   2.3431 (g)  1/15/2026   364,711 
 597,098   Diamond Sports Group, LLC, Term Loan  LIBOR + 3.250  %   3.3420 (g)  8/24/2026   330,168 
 515,000   DIRECTV Financing, LLC, Term Loan  LIBOR + 5.000  %   5.0905 (g)  7/22/2027   514,616 
 921,292   Hoya Midco, LLC (aka Vivid Seats LLC), Initial Term Loan (First Lien)  LIBOR + 3.500  %   4.5000 (g)  6/30/2024   917,068 
 1,591,040   iHeartCommunications, Inc. (fka Clear Channel Communications, Inc.), New Term Loan  LIBOR + 3.000  %   3.0920 (g)  5/01/2026   1,572,147 
 660,000   Intelsat Jackson Holdings S.A., Tranche B-3 Term Loan  LIBOR + 5.750  %   8.0000 (g)  11/27/2023   672,170 
 354,000   Intelsat Jackson Holdings S.A., Tranche B-5 Term Loan  LIBOR + 8.630  %   8.6250 (g)  1/02/2024   361,144 
 387,758   Intrado Corporation, Initial Term B Loan  LIBOR + 4.000  %   5.0000 (g)  10/10/2024   378,779 
 216,155   Intrado Corporation, Incremental Term B-1 Loan  LIBOR + 3.500  %   4.5000 (g)  10/10/2024   209,184 
 180,000   ION Trading Finance Limited, Initial Dollar Term Loan (2021)  LIBOR + 4.750  %   4.8973 (g)  4/01/2028   180,521 
 1,936,567   Level 3 Financing, Inc., Tranche B 2027 Term Loan  LIBOR + 1.750  %   1.8420 (g)  3/01/2027   1,898,446 
 723,975   Lumen Technologies, Inc., Term B Loan  LIBOR + 2.250  %   2.3420 (g)  3/15/2027   713,485 
 1,176,000   McGraw Hill Education, Inc., Initial Term Loan  LIBOR + 4.750  %   4.8405 (g)  7/21/2028   1,165,416 
 828,080   McGraw Hill LLC, Term B Loan (First Lien)  LIBOR + 4.750  %   4.8405 (g)  10/31/2024   828,511 
 1,020,864   Meredith Corporation, Tranche B-2 Term Loan  LIBOR + 2.500  %   2.5920 (g)  1/31/2025   1,015,474 
 905,472   Nexstar Broadcasting, Inc., Term B-4 Loan  LIBOR + 2.500  %   2.5958 (g)  9/19/2026   898,052 
 624,000   Numericable U.S. LLC, USD TLB-11 Term Loan  LIBOR + 2.750  %   2.8785 (g)  7/31/2025   609,049 
 768,777   Numericable U.S. LLC, USD TLB-12 Term Loan  LIBOR + 3.688  %   3.8136 (g)  1/31/2026   760,728 
 699,857   Plantronics, Inc., Initial Term B Loan  LIBOR + 2.500  %   2.5920 (g)  7/02/2025   686,081 
 940,000   Proofpoint, Term Loan  LIBOR + 3.250  %   3.3405 (g)  6/10/2028   932,010 
 281,429   Pug LLC, Term B-2 Loan  LIBOR + 4.250  %   4.7500 (g)  2/12/2027   279,846 
 738,750   Pug LLC, USD Term B Loan  LIBOR + 3.500  %   3.5920 (g)  2/13/2027   723,975 
 126,266   Radiate HoldCo, LLC (aka RCN Grande), Term B Loan  LIBOR + 3.500  %   4.2500 (g)  9/25/2026   125,942 
 625,650   Rodan & Fields, LLC, Closing Date Term Loan  LIBOR + 4.000  %   4.0931 (g)  6/07/2025   498,693 
 850,163   Sinclair Television Group, Inc., Term B-3 Loan  LIBOR + 3.000  %   3.0920 (g)  4/01/2028   844,531 
 1,049,399   Uber Technologies, Inc., 2021 Refinancing Term Loan  LIBOR + 3.500  %   3.5920 (g)  2/25/2027   1,046,645 
 1,966,091   Univision Communications, Inc., 2017 Replacement Repriced First-Lien Term Loan  LIBOR + 2.750  %   3.7500 (g)  3/15/2024   1,961,795 
 805,000   UPC Financing Partnership , Facility AX  LIBOR + 3.000  %   3.0931 (g)  1/31/2029   797,956 
 500,000   Virgin Media Bristol LLC, N Facility  LIBOR + 2.500  %   2.5931 (g)  1/31/2028   492,918 
 609,934   Zayo Group Holdings, Inc., Initial Dollar Term Loan  LIBOR + 3.000  %   3.0920 (g)  3/09/2027   600,840 
                       28,657,207 

 

See accompanying notes which are an integral part of these financial statements.

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal            Coupon        
Amount ($)      Spread     Rate (%)   Maturity  Fair Value 
     TERM LOANS - 98.1% (Continued)                   
     CONSUMER, CYCLICAL - 17.6%                   
 154,225   84 Lumber Company, Term B-1 Loan  LIBOR + 3.000  %   3.7500 (g)  11/13/2026  $153,864 
 605,000   AAdvantage Loyality IP Ltd. (American Airlines, Inc.), Initial Term Loan  LIBOR + 4.750  %   5.5000 (g)  4/20/2028   622,923 
 440,484   Accuride Corporation, 2017 Refinancing Term Loan  LIBOR + 5.250  %   6.2500 (g)  11/10/2023   423,259 
 243,529   Air Canada, Term Loan B  LIBOR + 3.500  %   3.5905 (g)  7/27/2028   244,241 
 479,568   American Airlines, Inc., 2017 Class B Term Loan  LIBOR + 2.000  %   2.0931 (g)  12/14/2023   469,257 
 897,650   American Axle & Manufacturing, Inc., Tranche B Term Loan  LIBOR + 2.250  %   3.0000 (g)  4/06/2024   896,667 
 1,089,664   American Builders & Contractors Supply Company, Inc., Restatement Effective Date Term Loan  LIBOR + 2.000  %   2.0920 (g)  1/15/2027   1,078,359 
 1,357,024   Aramark Intermediate HoldCo Corporation, U.S. Term B-3 Loan  LIBOR + 1.750  %   1.8420 (g)  3/11/2025   1,337,727 
 304,238   Aramark Intermediate HoldCo Corporation, U.S. Term B-5 Loan  LIBOR + 2.500  %   2.5920 (g)  4/06/2028   303,192 
 49,500   Aristocrat Leisure Limited, Initial Term Loan  LIBOR + 3.750  %   4.7500 (g)  10/19/2024   49,601 
 460,000   AT Home Group, Inc., Initial Term Loan  LIBOR + 4.250  %   4.3405 (g)  6/25/2028   460,575 
 1,310,000   Caesars Resort Collection, LLC, Term B Loan  LIBOR + 2.750  %   2.8420 (g)  12/22/2024   1,297,090 
 674,900   Caesars Resort Collection, LLC, Term B-1 Loan  LIBOR + 4.500  %   4.5920 (g)  7/20/2025   676,392 
 541,736   Carlisle FoodService Products, Incorporated, Initial Term Loan (First Lien)  LIBOR + 3.000  %   4.0000 (g)  3/20/2025   530,901 
 128,700   Carnival Corporation, Initial Advance (USD)  LIBOR + 3.000  %   3.7500 (g)  6/30/2025   128,017 
 317,218   CCM Merger, Inc. (MotorCity Casino Hotel), Term B Loan  LIBOR + 3.750  %   4.5000 (g)  11/04/2025   318,011 
 1,306,066   CityCenter Holdings, LLC, Term B Loan  LIBOR + 2.250  %   3.0000 (g)  4/18/2024   1,303,820 
 776,467   Clarios Global LP, Amendment No. 1 Dollar Term Loan (First Lien)  LIBOR + 3.250  %   3.3420 (g)  4/30/2026   771,614 
 774,382   Cooper-Standard Automotive, Inc., Additional Term B-1 Loan  LIBOR + 2.000  %   2.7500 (g)  11/02/2023   756,958 
 502,772   DexKo Global, Inc., Replacement U.S. Dollar Term B Loan (First Lien)  LIBOR + 3.500  %   4.5000 (g)  7/24/2024   502,983 
 1,057,507   Flutter Entertainment plc, USD Term Loan  LIBOR + 3.250  %   2.3410 (g)  7/10/2025   1,051,067 
 508,199   Gateway Casinos & Entertainment Limited, Initial Term Loan  LIBOR + 3.500  %   3.5905 (g)  3/13/2025   508,410 
 818,843   Gloves Buyer, Inc., Initial Term Loan (First Lien)  LIBOR + 4.000  %   4.7500 (g)  1/06/2028   815,772 
 15,000   Golden Nugget Online Gaming, Inc., 2020 Initial Term Loan  LIBOR + 12.000  %   13.0000 (g)  10/04/2023   16,725 
 1,149,024   Golden Nugget, Inc. (aka Landry’s, Inc.), Initial B Term Loan  LIBOR + 2.500  %   3.2500 (g)  10/04/2023   1,139,378 
 1,278,575   Great Outdoors Group, LLC, Term B-1 Loan  LIBOR + 4.250  %   5.0000 (g)  3/05/2028   1,282,091 
 1,271,774   Harbor Freight Tools USA, Inc., Initial Loan (2021)  LIBOR + 2.750  %   3.2500 (g)  10/20/2027   1,267,603 
 695,000   Hilton Grand Vacations Borrower, LLC, Term Loan  LIBOR + 3.000  %   3.0905 (g)  5/20/2028   693,436 
 710,000   Infinite Bidco LLC, Initial Term Loan (First Lien)  LIBOR + 3.750  %   4.2500 (g)  3/02/2028   709,560 
 245,000   Infinite Bidco LLC, Initial Term Loan (Second Lien)  LIBOR + 7.000  %   7.5000 (g)  3/02/2029   247,450 
 492,388   Isagenix International, LLC, Senior Lien Term Loan  LIBOR + 5.750  %   6.7500 (g)  6/14/2025   411,021 
 635,000   J & J Ventures Gaming, LLC, Initial Term Loan  LIBOR + 4.000  %   4.7500 (g)  4/26/2028   638,175 
 575,260   Kestrel Bidco, Inc., (aka WestJet Airlines), Term Loan  LIBOR + 3.000  %   4.0000 (g)  12/11/2026   556,765 
 610,000   LBM Acquisition, LLC, Amendment No. 1 Term Loan (First Lien)  LIBOR + 3.750  %   4.5000 (g)  12/16/2027   602,881 
 305,000   LBM Acquisition, LLC, Amendment No. 1 Delayed Draw Term Loan (First Lien)  LIBOR + 3.750  %   3.8405 (g)  12/18/2027   301,441 
 675,000   Michaels Companies, Inc., The, Term B Loan  LIBOR + 4.250  %   5.0000 (g)  4/15/2028   676,387 
 995,000   Mileage Plus Holdings LLC (Mileage Plus Intellectual Property Assets, Ltd.), Initial Term Loan  LIBOR + 5.250  %   6.2500 (g)  6/20/2027   1,056,197 
 179,913   Ozark Holdings LLC (aka Royal Oak), 2020 Refinancing Term Loan  LIBOR + 3.750  %   4.2500 (g)  12/16/2027   180,205 
 184,538   PAI Holdco, Inc., Term B Loan (First Lien)  LIBOR + 3.750  %   4.5000 (g)  10/28/2027   184,537 
 543,638   Petco Health and Wellness Company, Inc., Initial Term Loan (First Lien)  LIBOR + 3.250  %   4.0000 (g)  3/04/2028   541,895 
 520,000   PetSmart LLC, Initial Term Loan  LIBOR + 3.750  %   4.5000 (g)  2/12/2028   520,455 
 1,870,727   Playa Resorts Holding B.V., Initial Term Loan  LIBOR + 2.750  %   3.7500 (g)  4/27/2024   1,803,502 
 225,000   Raptor Acquisition Corporation, Term Loan B  LIBOR + 4.000  %   4.0905 (g)  11/01/2026   225,211 
 630,000   Rising Tide Holdings, Inc., Initial Term Loan (First Lien)  LIBOR + 4.750  %   5.5000 (g)  6/01/2028   631,673 
 1,039,754   Scientific Games International, Inc., Initial Term B-5 Loan  LIBOR + 2.750  %   2.8420 (g)  8/14/2024   1,025,821 
 292,227   Serta Simmons Bedding, LLC, Initial Term Loan (First Lien)  LIBOR + 3.500  %   4.5000 (g)  11/08/2023   198,714 
 445,909   SRAM, LLC, Initial Term Loan  LIBOR + 2.750  %   3.2500 (g)  5/18/2028   444,237 
 465,000   SRS Distribution, Inc., 2021 Refinancing Term Loan  LIBOR + 3.750  %   4.2500 (g)  6/02/2028   462,336 
 1,073,594   Tenneco, Inc., Tranche B Term Loan  LIBOR + 3.000  %   3.0920 (g)  10/01/2025   1,062,971 
 508,725   Truck Hero, Inc., Initial Term Loan  LIBOR + 3.750  %   4.5000 (g)  2/24/2028   507,804 
 989,580   UFC Holdings, LLC, Term B-3 Loan (First Lien)  LIBOR + 2.750  %   3.5000 (g)  4/29/2026   984,558 
 703,238   United AirLines, Inc., Class B Term Loan  LIBOR + 3.750  %   4.5000 (g)  4/21/2028   705,393 
 788,538   William Morris Endeavor Entertainment, LLC, Term B-1 Loan (First Lien)  LIBOR + 2.750  %   2.8420 (g)  5/18/2025   768,265 
                       34,547,387 
     CONSUMER, NON-CYCLICAL - 22.6%                   
 822,429   Accelerated Health Systems, LLC (Athletico Management, LLC), Initial Term Loan  LIBOR + 3.500  %   3.5893 (g)  11/01/2025   819,859 
 284,504   Agiliti Health, Inc., Amendment No. 2 Term Loan  LIBOR + 2.750  %   3.5000 (g)  1/04/2026   283,792 
 565,437   AHP Health Partners, Inc. (aka Ardent Health Partners, LLC), Term B-1 Loan  LIBOR + 3.750  %   4.7500 (g)  6/30/2025   566,791 
 1,018,913   AlixPartners, LLP, Initial Dollar Term Loan  LIBOR + 2.750  %   3.2500 (g)  2/04/2028   1,013,461 
 490,000   Allied Universal Holdco LLC (f/k/a USAGM Holdco, LLC), Initial U.S. Dollar Term Loan  LIBOR + 3.750  %   4.2500 (g)  5/14/2028   490,238 
 812,963   Amentum Government Services Holdings LLC, Tranche 2 Term Loan (First Lien)  LIBOR + 4.750  %   5.5000 (g)  1/31/2027   816,011 
 595,000   ANI Pharmaceuticals, Inc., Term Loan B  LIBOR + 6.000  %   6.0905 (g)  5/24/2027   596,487 
 492,525   Arterra Wines Canada, Inc. (fka 9941762 Canada Inc.), Initial Tranche B-1 Term Loan  LIBOR + 3.500  %   4.2500 (g)  11/25/2027   492,525 
 908,709   Bausch Health Companies Inc., Initial Term Loan  LIBOR + 3.000  %   3.0920 (g)  6/01/2025   903,370 
 161,250   Bausch Health Companies Inc., First Incremental Term Loan  LIBOR + 2.750  %   2.8420 (g)  11/27/2025   159,839 
 788,595   CHG Healthcare Services, Inc. (fka CHG Buyer Corporation), New Term Loan (2017) (First Lien)  LIBOR + 3.000  %   4.0000 (g)  6/07/2023   788,106 
 572,300   CHG PPC Parent LLC, Initial Term Loan (First Lien)  LIBOR + 2.750  %   2.8420 (g)  3/30/2025   564,431 
 878,363   Chobani, LLC, 2020 New Term Loan  LIBOR + 3.500  %   4.5000 (g)  10/23/2027   879,021 
 510,727   CPI Holdco, LLC, Term B-1 Loan (First Lien)  LIBOR + 3.750  %   3.8420 (g)  11/04/2026   510,407 
 816,563   Dole Food Company, Inc., Tranche B Term Loan  LIBOR + 2.750  %   5.0000 (g)  4/06/2024   816,767 
 732,153   Endo Luxembourg Finance Company I S.a r.l., 2021 Term Loan  LIBOR + 5.000  %   5.7500 (g)  3/25/2028   716,869 
 248,734   Ensemble RCM, LLC, Closing Date Term Loan  LIBOR + 3.750  %   3.8785 (g)  8/01/2026   248,831 
 1,103,043   Envision Healthcare Corporation, Initial Term Loan  LIBOR + 3.750  %   3.8420 (g)  10/10/2025   947,288 
 540,223   eResearchTechnology, Inc., Initial Term Loan (First Lien)  LIBOR + 4.500  %   5.5000 (g)  2/04/2027   541,911 
 752,400   Froneri International Limited, Facility B2 (First Lien)  LIBOR + 2.250  %   2.3420 (g)  1/31/2027   739,846 
 925,737   Gainwell Acquisition Corporation, Term B Loan (First Lien)  LIBOR + 4.000  %   4.7500 (g)  10/01/2027   927,037 
 610,000   Garda World Security Corporation, Term B-2 Loan  LIBOR + 4.250  %   4.3393 (g)  10/30/2026   610,000 
 240,065   Gentiva Health Services, Inc., Term B-1 Loan (First Lien)  LIBOR + 2.750  %   2.8420 (g)  7/02/2025   239,466 
 246,084   Greenrock Finance, Inc., Initial USD Term B Loan (First Lien)  LIBOR + 3.500  %   4.5000 (g)  6/05/2024   244,700 

 

See accompanying notes which are an integral part of these financial statements.

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal            Coupon        
Amount ($)      Spread     Rate (%)   Maturity  Fair Value 
     TERM LOANS - 98.1% (Continued)                   
     CONSUMER, NON-CYCLICAL - 22.6% (Continued)                   
 305,000   HCRX Investments Holdco, L.P., Term Loan B  LIBOR + 2.250  %   2.3405 (g)  7/15/2028  $304,190 
 606,203   Heartland Dental, LLC, Initial Term Loan  LIBOR + 3.500  %   3.5920 (g)  4/30/2025   600,211 
 250,000   Heartland Dental, LLC, 2021 Incremental Term Loan  LIBOR + 4.000  %   4.0931 (g)  4/30/2025   249,452 
 792,712   Help at Home, LLC, Initial Term Loan (First Lien)  LIBOR + 5.000  %   6.0000 (g)  10/28/2027   795,688 
 100,302   Help at Home, LLC, Delayed Draw Term Loan (First Lien)  LIBOR + 5.000  %   5.0905 (g)  10/28/2027   100,678 
 394,527   Hertz Corporation, The, Initial Term B Loan  LIBOR + 3.500  %   4.0000 (g)  6/30/2028   392,676 
 74,404   Hertz Corporation, The, Initial Term C Loan  LIBOR + 3.500  %   4.0000 (g)  6/30/2028   74,055 
 1,362,182   H-Food Holdings, LLC (aka Hearthside Food Solutions, LLC), Initial Term Loan  LIBOR + 3.688  %   3.7795 (g)  5/31/2025   1,351,114 
 787,532   Hostess Brands, LLC, 2019 Refinancing Term B Loan (First Lien)  LIBOR + 2.250  %   3.0000 (g)  8/03/2025   784,252 
 81,777   Icon Public Limited Company, U.S. Term Loan  LIBOR + 2.500  %   3.0000 (g)  7/04/2028   81,704 
 328,223   Icon Public Limited Company, Lux Term Loan  LIBOR + 2.500  %   3.0000 (g)  7/04/2028   327,929 
 255,000   Insulet Corporation, Term B Loan  LIBOR + 3.250  %   3.7500 (g)  5/04/2028   255,519 
 920,126   Kronos Acquisition Holdings, Inc., Tranche B-1 Term Loan  LIBOR + 3.750  %   4.2500 (g)  12/22/2026   911,256 
 1,252,432   LifePoint Health, Inc. (fka Regionalcare Hospital Partners Holdings, Inc.), Term B Loan (First Lien)  LIBOR + 3.750  %   3.8420 (g)  11/16/2025   1,243,396 
 820,000   Mavis Tire Express Services Topco Corporation, Initial Term Loan (First Lien)  LIBOR + 4.000  %   4.7500 (g)  5/04/2028   820,127 
 945,259   NAB Holdings, LLC (aka North American Bancard Holdings), 2018 Refinancing Term Loan  LIBOR + 3.000  %   4.0000 (g)  6/30/2024   945,694 
 870,144   National Mentor Holdings, Inc. (aka Civitas Solutions, Inc.), Initial Term Loan (First Lien)  LIBOR + 3.750  %   4.5000 (g)  3/02/2028   869,783 
 27,405   National Mentor Holdings, Inc. (aka Civitas Solutions, Inc.), Initial Term C Loan (First Lien)  LIBOR + 3.750  %   4.5000 (g)  3/02/2028   27,394 
 40,395   National Mentor Holdings, Inc. (aka Civitas Solutions, Inc.), Delayed Draw Term Loan (First Lien)  LIBOR + 3.750  %   3.8405 (g)  3/02/2028   40,379 
 1,205,000   One Call Corporation, Term B Loan (First Lien)  LIBOR + 5.500  %   6.2500 (g)  4/22/2027   1,215,544 
 518,700   Packaging Coordinators Midco, Inc., Term B Loan (First Lien)  LIBOR + 3.500  %   4.2500 (g)  11/30/2027   518,765 
 1,030,744   Parexel International Corporation, Initial Term Loan  LIBOR + 2.750  %   2.8420 (g)  9/27/2024   1,028,672 
 1,069,565   Parfums Holding Company, Inc., Initial Term Loan (First Lien)  LIBOR + 4.000  %   4.0920 (g)  6/30/2024   1,066,624 
 1,279,173   PetVet Care Centers, LLC, Initial Term Loan (First Lien)  LIBOR + 2.750  %   2.8420 (g)  2/14/2025   1,259,985 
 62,371   PetVet Care Centers, LLC, 2018 Term Loan (First Lien)  LIBOR + 3.250  %   3.3420 (g)  2/14/2025   61,708 
 486,592   PetVet Care Centers, LLC, 2021 First Lien Replacement Term Loan  LIBOR + 3.500  %   4.2500 (g)  2/15/2025   485,833 
 532,235   Phoenix Guarantor, Inc., (aka Brightspring), Tranche B-1 Term Loan (First Lien)  LIBOR + 3.250  %   3.3393 (g)  3/05/2026   526,181 
 553,164   Phoenix Guarantor, Inc., (aka Brightspring), Tranche B-3 Term Loan (First Lien)  LIBOR + 3.500  %   3.5958 (g)  3/05/2026   547,928 
 555,000   Pluto Acquisition I, Inc. (aka AccentCare, Inc.), 2021 Term Loan (First Lien)  LIBOR + 4.000  %   4.1139 (g)  6/20/2026   552,225 
 61,607   Precision Medicine Group, LLC, Amendment No. 1 Refinancing DDTL  LIBOR + 3.000  %   3.0905 (g)  11/20/2027   61,453 
 590,426   Precision Medicine Group, LLC, Amendment No. 1 Refinancing Term Loan  LIBOR + 3.000  %   3.7500 (g)  11/20/2027   588,953 
 632,966   Select Medical Corporation, Tranche B Term Loan  LIBOR + 2.250  %   2.3420 (g)  3/06/2025   625,184 
 1,196,330   Shearer’s Foods, LLC, Refinancing Term Loan (First Lien)  LIBOR + 3.500  %   4.2500 (g)  9/23/2027   1,197,137 
 837,188   Sigma Holdco B.V. (aka Flora Foods), Facility B2  LIBOR + 3.000  %   3.1595 (g)  7/02/2025   819,164 
 485,000   Sotera Health Holdings, LLC, Refinancing Loan (First Lien)  LIBOR + 2.750  %   3.2500 (g)  12/13/2026   483,688 
 622,069   Southern Veterinary Partners, LLC, Initial Term Loan (First Lien)  LIBOR + 4.000  %   5.0000 (g)  10/05/2027   624,209 
 86,234   Southern Veterinary Partners, LLC, Delayed Draw Term Loan (First Lien)  LIBOR + 4.000  %   4.0905 (g)  10/05/2027   86,530 
 775,696   St. George’s University Scholastic Services LLC, Term Loan  LIBOR + 3.250  %   3.3420 (g)  7/17/2025   776,988 
 678,650   St. George’s University Scholastic Services LLC, Term Loan B  LIBOR + 3.250  %   3.3405 (g)  6/29/2028   676,248 
 453,863   Sunshine Luxembourg VII SARL (aka Galderma), Facility B3  LIBOR + 3.750  %   4.5000 (g)  10/02/2026   454,713 
 1,278,700   Surgery Center Holdings, Inc., 2021 New Term Loan  LIBOR + 3.750  %   4.5000 (g)  8/31/2026   1,279,730 
 383,000   Team Health Holdings, Inc., Initial Term Loan  LIBOR + 2.750  %   3.7500 (g)  2/06/2024   371,690 
 712,620   Trans Union LLC, 2019 Replacement Term B-5 Loan  LIBOR + 1.750  %   1.8420 (g)  11/15/2026   704,899 
 595,000   Triton Water Holdings, Inc., Initial Term Loan (First Lien)  LIBOR + 3.500  %   4.0000 (g)  3/31/2028   591,246 
 280,000   TTF Holdings, LLC, Initial Term Loan  LIBOR + 4.250  %   5.0000 (g)  4/01/2028   279,650 
 240,000   Upstream Newco, Inc., August 2021 Incremental Term Loan (First Lien)  LIBOR + 4.250  %   4.3405 (g)  11/20/2026   238,876 
 1,601,753   Viant Medical Holdings, Inc., Initial Term Loan (First Lien)  LIBOR + 3.750  %   3.8420 (g)  7/02/2025   1,551,826 
 678,300   WEX, Inc., Term B Loan  LIBOR + 2.250  %   2.3420 (g)  4/01/2028   671,941 
                       44,440,140 
     ENERGY - 1.2%                   
 339,950   CITGO Holding, Inc., Term Loan  LIBOR + 7.000  %   8.0000 (g)  8/01/2023   336,041 
 538,422   CITGO Petroleum Corporation, 2019 Incremental Term B Loan  LIBOR + 6.250  %   7.2500 (g)  3/28/2024   540,689 
 605,554   Fieldwood Energy LLC, Closing Date Loan (First Lien)  LIBOR + 0.000  %   0.0905 (g)  4/11/2022   326,890 
 748,983   Medallion Midland Acquisition, LLC, Initial Term Loan  LIBOR + 3.250  %   4.2500 (g)  10/30/2024   744,957 
 457,878   Traverse Midstream Partners LLC, Advance  LIBOR + 5.500  %   6.5000 (g)  9/27/2024   458,832 
                       2,407,409 
     FINANCIAL - 5.3%                   
 1,037,491   Acrisure, LLC, 2020 Term Loan (First Lien)  LIBOR + 3.500  %   3.6102 (g)  2/15/2027   1,020,762 
 471,429   Apex Group Treasury LLC, Term Loan  LIBOR + 3.750  %   3.8405 (g)  7/23/2028   470,840 
 184,150   Asurion, LLC (fka Asurion Corporation), Replacement B-6 Term Loan  LIBOR + 3.125  %   3.2170 (g)  11/03/2023   182,405 
 378,300   Asurion, LLC (fka Asurion Corporation), New B-7 Term Loan  LIBOR + 3.000  %   3.0920 (g)  11/03/2024   372,625 
 768,674   Asurion, LLC (fka Asurion Corporation), New B-8 Term Loan  LIBOR + 3.250  %   3.3420 (g)  12/23/2026   755,341 
 673,975   Asurion, LLC (fka Asurion Corporation), New B-9 Term Loan  LIBOR + 3.250  %   3.3420 (g)  7/31/2027   662,814 
 355,000   Asurion, LLC (fka Asurion Corporation), New B-3 Term Loan (Second Lien)  LIBOR + 5.250  %   5.3420 (g)  2/03/2028   353,860 
 365,000   Asurion, LLC (fka Asurion Corporation), New B-4 Term Loan (Second Lien)  LIBOR + 5.250  %   5.3405 (g)  1/15/2029   363,744 
 518,519   Blackhawk Network Holdings, Inc., Term Loan (First Lien)  LIBOR + 3.000  %   3.0920 (g)  6/15/2025   512,224 
 1,656,875   Citadel Securities LP, 2021 Term Loan  LIBOR + 2.500  %   2.5920 (g)  2/02/2028   1,630,837 
 955,685   Deerfield Dakota Holding, LLC (aka Duff & Phelps), Initial Dollar Term Loan (First Lien)  LIBOR + 3.750  %   4.7500 (g)  4/09/2027   957,405 
 623,664   Masergy Holdings, Inc., 2017 Replacement Term Loan (First Lien)  LIBOR + 3.250  %   4.2500 (g)  12/15/2023   622,984 
 630,000   Paysafe Group Holdings II Limited, Facility B1  LIBOR + 2.750  %   3.2500 (g)  6/28/2028   629,216 
 1,509,857   Sedgwick Claims Management Services, Inc. (Lightning Cayman Merger Sub, Ltd.), Initial Term Loan  LIBOR + 3.250  %   3.3420 (g)  12/31/2025   1,488,251 
 191,100   Sedgwick Claims Management Services, Inc. (Lightning Cayman Merger Sub, Ltd.), 2019 Term Loan  LIBOR + 3.750  %   3.8420 (g)  9/03/2026   189,821 
 175,000   Zebra Buyer LLC, Term Loan  LIBOR + 3.250  %   3.3405 (g)  4/22/2028   175,369 
                       10,388,498 

 

See accompanying notes which are an integral part of these financial statements.

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal            Coupon        
Amount ($)      Spread     Rate (%)   Maturity  Fair Value 
     TERM LOANS - 98.1% (Continued)                   
     INDUSTRIALS - 18.2%                   
 218,875   AI Convoy (Luxembourg) S.a r.l., Facility B (USD)  LIBOR + 3.500  %   4.5000 (g)  1/20/2027  $218,989 
 320,000   AIT Worldwide Logistics Holdings, Inc., Initial Term Loan (First Lien)  LIBOR + 4.750  %   5.5000 (g)  4/06/2028   320,800 
 838,791   Alliance Laundry Systems LLC, Initial Term B Loan  LIBOR + 3.500  %   4.2500 (g)  10/08/2027   839,181 
 844,195   Anchor Glass Container Corporation, July 2017 Additional Term Loan (First Lien)  LIBOR + 2.750  %   3.7500 (g)  12/07/2023   787,849 
 116,534   Anchor Glass Container Corporation, October 2020 Incremental Term Loan (First Lien)  LIBOR + 5.000  %   6.0000 (g)  12/07/2023   109,251 
 81,333   Anchor Glass Container Corporation, Term Loan (Second Lien)  LIBOR + 7.750  %   8.7500 (g)  12/07/2024   42,903 
 505,000   Arcline FM Holdings, LLC, Initial Term Loan (First Lien)  LIBOR + 4.750  %   5.5000 (g)  6/24/2028   506,896 
 368,150   ASP Navigate Acquisition Corp., Initial Term Loan  LIBOR + 4.500  %   5.5000 (g)  10/06/2027   368,610 
 547,435   Atlantic Aviation FBO Inc., Term Loan  LIBOR + 3.750  %   3.8420 (g)  12/06/2025   545,555 
 898,015   Berlin Packaging L.L.C., Initial Term Loan (First Lien)  LIBOR + 3.000  %   3.0958 (g)  11/07/2025   888,568 
 686,480   Berry Global, Inc. (fka Berry Plastics Corporation), Term Z Loan  LIBOR + 1.750  %   1.8504 (g)  7/01/2026   679,247 
 1,441,822   Brookfield WEC Holdings, Inc., Initial Term Loan (2021) (First Lien)  LIBOR + 2.750  %   3.2500 (g)  8/01/2025   1,423,439 
 942,977   Brown Group Holdings, LLC (aka Signature Aviation), Initial Term Loan  LIBOR + 2.750  %   3.2500 (g)  6/07/2028   937,475 
 735,114   Circor International, Inc., New Term Loan  LIBOR + 3.250  %   4.2500 (g)  12/11/2024   731,162 
 907,779   CPG International LLC (fka CPG International, Inc.) , New Term Loan  LIBOR + 2.500  %   3.2500 (g)  5/05/2024   907,325 
 467,165   DG Investment Intermediate Holdings 2, Inc., Closing Date Initial Term Loan (First Lien)  LIBOR + 3.750  %   4.5000 (g)  3/31/2028   467,917 
 97,836   DG Investment Intermediate Holdings 2, Inc., Delayed Draw Term Loan (First Lien)  LIBOR + 3.750  %   3.8405 (g)  3/31/2028   97,993 
 283,575   DXP Enterprises, Inc., Initial Term Loan  LIBOR + 4.750  %   5.7500 (g)  12/23/2027   284,993 
 200,000   Fairbanks Morse Defense, Term Loan (Second Lien )  LIBOR + 0.000  %   0.0905 (g)  6/17/2029   203,000 
 1,244,975   Filtration Group Corporation, Initial Dollar Term Loan  LIBOR + 3.000  %   3.0920 (g)  3/29/2025   1,233,664 
 332,488   Filtration Group Corporation, Series A Term Loan  LIBOR + 3.750  %   4.5000 (g)  3/29/2025   333,194 
 706,784   Fluidra, S.A., Tranche B-1 USD Term Loan  LIBOR + 2.000  %   2.0920 (g)  7/02/2025   702,808 
 1,074,521   Fort Dearborn Holding Company, Inc., Initial Term Loan (First Lien)  LIBOR + 4.000  %   5.0000 (g)  10/19/2023   1,077,374 
 818,622   Gardner Denver, Inc., 2020 GDI Tranche B-2 Dollar Term Loan  LIBOR + 1.750  %   1.8420 (g)  2/28/2027   804,869 
 1,442,696   Gates Global LLC, Initial B-3 Dollar Term Loan  LIBOR + 2.750  %   3.5000 (g)  3/31/2027   1,435,562 
 379,984   Gemini HDPE LLC, 2027 Advance  LIBOR + 3.000  %   3.5000 (g)  12/31/2027   379,035 
 593,229   GFL Environmental, Inc., 2020 Refinancing Term Loan  LIBOR + 3.000  %   3.5000 (g)  5/31/2025   593,650 
 455,000   KKR Apple Bidco, LLC, Term Loan  LIBOR + 3.000  %   3.0905 (g)  7/13/2028   452,370 
 65,000   KKR Apple Bidco, LLC, 2nd Lien Term Loan  LIBOR + 5.750  %   5.8405 (g)  7/13/2029   66,056 
 997,500   Kleopatra Finco S.a r.l., Facility B (USD)  LIBOR + 4.750  %   5.2500 (g)  2/09/2026   999,056 
 825,850   LEB Holdings (USA), Inc., Initial Term Loan  LIBOR + 3.750  %   4.5000 (g)  11/02/2027   828,303 
 1,100,876   Mauser Packaging Solutions Holding Company, Initial Term Loan  LIBOR + 3.250  %   3.3420 (g)  4/03/2024   1,067,761 
 441,668   Pactiv Evergreen, Inc., Tranche B-1 U.S. Term Loan  LIBOR + 2.750  %   2.8420 (g)  2/05/2023   440,721 
 1,358,175   Pactiv Evergreen, Inc., Tranche B-2 U.S. Term Loan  LIBOR + 3.250  %   3.3420 (g)  2/05/2026   1,344,111 
 707,826   Patriot Container Corporation (aka Wastequip), Closing Date Term Loan (First Lien)  LIBOR + 3.750  %   3.8405 (g)  3/20/2025   704,287 
 763,088   PODS, LLC, Initial Term Loan  LIBOR + 3.000  %   3.7500 (g)  3/31/2028   760,226 
 1,395,000   QUIKRETE Holdings, Inc., B-1 Fourth Amendment Loan (First Lien)  LIBOR + 3.000  %   3.0905 (g)  6/11/2028   1,381,922 
 889,615   Spectrum Holdings III Corporation, Closing Date Term Loan (First Lien)  LIBOR + 3.250  %   4.2500 (g)  1/31/2025   855,476 
 803,542   Star US Bidco LLC, Initial Term Loan  LIBOR + 4.250  %   5.2500 (g)  3/17/2027   805,301 
 1,301,789   Summit Materials, LLC, New Term Loan  LIBOR + 2.000  %   2.0920 (g)  11/21/2024   1,299,218 
 535,000   Technimark LLC, Term Loan  LIBOR + 3.750  %   3.8405 (g)  7/09/2028   532,103 
 73,913   Tekni-Plex, Inc. (aka Trident TPI Holdings, Inc.), Delayed Draw Tem Loan  LIBOR + 4.000  %   4.0905 (g)  7/29/2028   73,959 
 521,087   Tekni-Plex, Inc. (aka Trident TPI Holdings, Inc.), Incremental Term Loan  LIBOR + 4.000  %   4.0905 (g)  7/29/2028   521,413 
 986,847   Titan Acquisition Limited (aka Husky IMS International Ltd.), Initial Term Loan  LIBOR + 3.000  %   3.1472 (g)  3/28/2025   968,393 
 779,238   TransDigm, Inc., Tranche E Refinancing Term Loan  LIBOR + 2.250  %   2.3420 (g)  5/30/2025   766,404 
 1,063,392   TransDigm, Inc., Tranche F Refinancing Term Loan  LIBOR + 2.250  %   2.3420 (g)  12/09/2025   1,046,017 
 489,716   TRC Companies, Inc., Refinancing Term Loan  LIBOR + 4.500  %   5.2500 (g)  6/21/2024   489,104 
 602,075   Tricorbraun Holdings, Inc., Closing Date Initial Term Loan (First Lien)  LIBOR + 3.250  %   3.7500 (g)  3/03/2028   596,961 
 135,425   Tricorbraun Holdings, Inc., Delayed Draw Term Loan (First Lien)  LIBOR + 3.250  %   3.3405 (g)  3/03/2028   134,274 
 867,797   Trident TPI Holdings, Inc., Tranche B-1 Term Loan  LIBOR + 3.000  %   4.0000 (g)  10/05/2024   866,621 
 505,703   U.S. Farathane, LLC, Term B-5 Loan  LIBOR + 4.250  %   5.2500 (g)  12/17/2024   503,175 
 1,219,033   Vertiv Group Corporation (fka Cortes NP Acquisition Corporation), Term B Loan  LIBOR + 2.750  %   2.8458 (g)  3/02/2027   1,209,220 
                       35,633,761 
     TECHNOLOGY - 11.0%                   
 1,621,779   Applied Systems, Inc., Closing Date Term Loan (First Lien)  LIBOR + 3.250  %   3.7500 (g)  9/19/2024   1,618,187 
 192,894   Applied Systems, Inc., 2021 Term Loan (Second Lien)  LIBOR + 5.500  %   6.2500 (g)  9/19/2025   195,684 
 455,342   Aston FinCo S.a r.l., Dollar Term Loan (First Lien)  LIBOR + 4.250  %   4.3352 (g)  10/09/2026   454,324 
 234,413   athenahealth, Inc., Term B-1 Loan (First Lien)  LIBOR + 4.250  %   4.4099 (g)  2/11/2026   234,764 
 294,750   Azalea TopCo, Inc., Initial Term Loan (First Lien)  LIBOR + 3.500  %   3.6284 (g)  7/25/2026   291,941 
 469,663   Azalea TopCo, Inc., 2021 Term Loan (First Lien)  LIBOR + 3.750  %   3.8405 (g)  7/25/2026   471,032 
 1,499,441   Boxer Parent Company, Inc., (aka BMC Software, Inc.), 2021 Replacement Dollar Term Loan  LIBOR + 3.750  %   3.8420 (g)  10/02/2025   1,488,863 
 1,392,319   Dun & Bradstreet Corporation, The, Initial Term Borrowing  LIBOR + 3.250  %   3.3361 (g)  2/06/2026   1,382,308 
 150,000   ECL Entertainment, LLC, Term B Loan  LIBOR + 7.500  %   8.2500 (g)  4/30/2028   153,000 
 803,925   Epicor Software Corporation (fka Eagle Parent, Inc.), Term C Loan  LIBOR + 3.250  %   4.0000 (g)  7/31/2027   802,562 
 29,700   Everi Payments, Inc., Term Loan  LIBOR + 10.500  %   11.2500 (g)  5/09/2024   31,036 
 966,571   Everi Payments, Inc., Term B Loan  LIBOR + 2.750  %   3.5000 (g)  5/09/2024   965,532 
 1,047,375   Grab Holdings, Inc., Initial Term Loan  LIBOR + 4.500  %   5.5000 (g)  1/29/2026   1,056,540 
 568,575   Greeneden U.S. Holdings I, LLC, Initial Dollar Term Loan (2020)  LIBOR + 4.000  %   4.7500 (g)  12/01/2027   569,846 
 819,119   Hyland Software, Inc., 2018 Refinancing Term Loan (First Lien)  LIBOR + 3.500  %   4.2500 (g)  7/01/2024   820,270 
 465,000   Magenta Buyer LLC, Initial Term Loan (First Lien)  LIBOR + 5.000  %   5.0905 (g)  7/27/2028   463,403 
 723,747   NCR Corporation, Initial Term Loan (2019)  LIBOR + 2.500  %   2.6285 (g)  8/28/2026   710,177 
 1,065,330   Peraton Corporation, Term B Loan (First Lien)  LIBOR + 3.750  %   4.5000 (g)  2/01/2028   1,065,996 
 543,638   Playtika Holding Corporation, Term B-1 Loan  LIBOR + 2.750  %   2.8420 (g)  3/11/2028   540,479 
 523,688   Project Ruby Ultimate Parent Corporation (Mediware), Closing Date Term Loan (First Lien)  LIBOR + 3.250  %   4.0000 (g)  3/10/2028   521,543 
 975,000   RealPage, Inc., Initial Term Loan (First Lien)  LIBOR + 3.250  %   3.7500 (g)  4/22/2028   970,310 
 740,000   Rocket Software, Inc., 2021 Dollar Term Loan (First Lien)  LIBOR + 4.250  %   4.7500 (g)  11/28/2025   724,430 
 791,025   Sophia, L.P., Closing Date Term Loan  LIBOR + 3.750  %   4.5000 (g)  10/07/2027   791,448 
 679,240   Tempo Acquisition, LLC, Extended Term Loan  LIBOR + 3.250  %   3.7500 (g)  10/31/2026   678,958 
 615,000   Tenable, Inc., Initial Term Loan  LIBOR + 2.750  %   3.2500 (g)  7/08/2028   612,694 

 

See accompanying notes which are an integral part of these financial statements.

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal            Coupon        
Amount ($)      Spread     Rate (%)   Maturity  Fair Value 
     TERM LOANS - 98.1% (Continued)                   
     TECHNOLOGY - 11.0% (Continued)                   
 728,175   ThoughtWorks, Inc., Incremental Term Loan  LIBOR + 3.250  %   3.9954 (g)  3/26/2028  $727,265 
 1,409,405   UKG, Inc., 2021 Incremental Term Loan (First Lien)  LIBOR + 3.250  %   4.0000 (g)  5/03/2026   1,410,427 
 30,000   UKG, Inc., Initial Term Loan (2020) (Second Lien)  LIBOR + 6.750  %   7.5000 (g)  5/03/2027   30,562 
 252,791   Ultra Clean Holdings, Inc., Second Amendment Term B Loan  LIBOR + 3.750  %   3.8420 (g)  8/27/2025   253,317 
 244,388   Virtusa Corporation, Closing Date Term Loan  LIBOR + 4.250  %   5.0000 (g)  2/11/2028   245,647 
 544,170   Waystar Technologies, Inc., Initial Term Loan (First Lien)  LIBOR + 4.000  %   4.0920 (g)  10/23/2026   542,981 
 711,425   Weld North Education LLC, 2020 Term Loan  LIBOR + 4.000  %   4.7500 (g)  1/27/2028   712,136 
                       21,537,662 
                         
     UTILITIES - 1.7%                   
 582,805   Astoria Energy LLC, Term B Advance (2020)  LIBOR + 3.500  %   4.5000 (g)  12/10/2027   582,030 
 614,254   Calpine Construction Finance Company, L.P., Term B Loan  LIBOR + 2.000  %   2.0920 (g)  1/15/2025   605,550 
 280,142   Calpine Corporation, Term Loan  LIBOR + 2.000  %   2.0920 (g)  8/12/2026   275,967 
 693,871   Hamilton Projects Acquiror, LLC, Term Loan  LIBOR + 4.750  %   5.7500 (g)  6/26/2027   686,176 
 470,678   Lightstone Holdco LLC, Refinancing Term B Loan  LIBOR + 3.750  %   4.7500 (g)  1/30/2024   365,135 
 26,547   Lightstone Holdco LLC, Refinancing Term C Loan  LIBOR + 3.750  %   4.7500 (g)  1/30/2024   20,594 
 860,096   Pike Corporation, 2028 Initial Term Loan  LIBOR + 3.000  %   3.0920 (g)  1/21/2028   856,634 
 635,000   Texas Competitive Electric Holdings Company LLC Escrow Bonds (d)  11.5000   5/03/2071   445 
                       3,392,531 
     TOTAL TERM LOANS (Cost - $193,218,995)           192,596,122 
                         
     RIGHTS - 0.0% (h)                   
 10,588   TRA Rights             11/22/2049   13,923 
     TOTAL RIGHTS (Cost - $17,470)                   
                         
     WARRANTS - 0.2%                   
 14,903   iHeartMedia, Inc.             12/31/2049   376,301 
     TOTAL WARRANTS (Cost - $287,609)          
                         
     SHORT-TERM INVESTMENT - 5.1%                   
     MONEY MARKET FUND - 5.1%                   
 10,016,139   Fidelity Government Portfolio - Class Institutional, 0.01% (b)           10,016,139 
     TOTAL SHORT-TERM INVESTMENT - (Cost - $10,016,139)            
                         
     COLLATERAL FOR SECURITIES LOANED - 1.2%             
 2,467,874   Mount Vernon Prime Portfolio, 0.10% (b)(f)           2,467,874 
     TOTAL COLLATERAL FOR SECURITIES LOANED (Cost - $2,467,874)        
                         
     TOTAL INVESTMENTS - 109.1% (Cost - $196,239,009)       $214,285,677 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (9.1)%          (17,909,781)
     NET ASSETS - 100.0%                $196,375,896 

 

ETF - Exchange Traded Fund

 

LIBOR - London Inter-bank Offered Rate

 

L.P. - Limited Partnership

 

LLC - Limited Liability Company

 

LLLP - Limited Liability Limited Partnership

 

LLP - Limited Liability Partnership

 

Ltd. - Limited Company

 

plc - Public Limited Company

 

REITs - Real Estate Investment Trusts

 

(a)Non-Income producing security.

 

(b)Rate disclosed is the seven day effective yield as of July 31, 2021.

 

(c)- Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. As of July 31, 2021 the total market value of 144A securities is $5,137,784 or 2.62% of net assets.

 

(d)Fair Value estimated using fair value procedures adopted by Board of Trustees. Total Value of such securities is $445 or 0.0% of net assets as of July 31, 2021.

 

(e)All or a portion of these securities are on loan. Total loaned securities had a value of $2,407,705 at July 31, 2021.

 

(f)The Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

(g)Variable Rate Security. Coupon Rate is as of July 31, 2021.

 

(h)Percentage rounds to less than 0.1%.

 

See accompanying notes which are an integral part of these financial statements.

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares              Fair Value 
     COMMON STOCKS — 0.0%(a)               
     OIL & GAS SERVICES & EQUIPMENT - 0.0%(a)               
 20,037   Hi-Crush(b)            $3,406 
                     
     TOTAL COMMON STOCKS (Cost $888,498)             3,406 
                     
Principal
Amount ($)
       Coupon Rate
(%)
    Maturity      
     CONVERTIBLE BONDS — 0.3%               
     OIL & GAS SERVICES & EQUIPMENT — 0.3%               
 304,983   Hi-Crush, Inc.(c)   8.0000    04/09/26    304,983 
                     
     TOTAL CONVERTIBLE BONDS (Cost $304,983)             304,983 
                     
     CORPORATE BONDS — 95.8%               
     ADVERTISING & MARKETING — 0.5%               
 520,000   Terrier Media Buyer, Inc.(c)   8.8750    12/15/27    556,790 
                     
     AEROSPACE & DEFENSE — 1.0%               
 625,000   Moog, Inc.(c)   4.2500    12/15/27    645,703 
 504,000   Spirit AeroSystems, Inc.(c)   7.5000    04/15/25    535,500 
                   1,181,203 
     ASSET MANAGEMENT — 0.6%               
 755,000   NFP Corporation(c)   4.8750    08/15/28    770,689 
                     
     AUTOMOTIVE — 2.2%               
 690,000   Ford Motor Company   6.6250    10/01/28    829,380 
 105,000   Ford Motor Company   7.4500    07/16/31    139,183 
 1,304,000   Ford Motor Company   4.7500    01/15/43    1,433,246 
 200,000   Ford Motor Credit Company, LLC   2.9000    02/16/28    200,525 
                   2,602,334 
     BIOTECH & PHARMA — 1.0%               
 250,000   Endo Luxembourg Finance Company I Sarl / Endo US,(c)   6.1250    04/01/29    248,811 
 200,000   Organon Finance 1, LLC(c)   4.1250    04/30/28    205,343 
 200,000   Organon Finance 1, LLC(c)   5.1250    04/30/31    206,250 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 95.8% (Continued)           
     BIOTECH & PHARMA — 1.0% (Continued)           
 547,000   Par Pharmaceutical, Inc.(c)  7.5000  04/01/27  $558,706 
               1,219,110 
     CABLE & SATELLITE — 4.2%           
 1,290,000   Altice Financing S.A.(c)  5.0000  01/15/28   1,269,057 
 555,000   Block Communications, Inc.(c)  4.8750  03/01/28   563,966 
 478,000   CCO Holdings, LLC / CCO Holdings Capital(c)  5.5000  05/01/26   494,716 
 378,000   CCO Holdings, LLC / CCO Holdings Capital(c)  5.0000  02/01/28   396,908 
 335,000   CCO Holdings, LLC / CCO Holdings Capital(c)  5.3750  06/01/29   366,746 
 390,000   CSC Holdings, LLC(c)  5.5000  04/15/27   409,135 
 590,000   CSC Holdings, LLC(c)  5.3750  02/01/28   624,317 
 225,000   CSC Holdings, LLC(c)  5.7500  01/15/30   234,809 
 751,000   UPC Broadband Finco BV(c)  4.8750  07/15/31   767,071 
               5,126,725 
     CHEMICALS — 1.9%           
 535,000   Consolidated Energy Finance S.A.(c)  6.8750  06/15/25   544,946 
 502,000   Methanex Corporation  5.1250  10/15/27   544,979 
 387,000   Minerals Technologies, Inc.(c)  5.0000  07/01/28   405,800 
 423,000   OCI N.V.(c)  5.2500  11/01/24   435,601 
 352,000   Trinseo Materials Operating SCA / Trinseo(c)  5.1250  04/01/29   358,947 
               2,290,273 
     COMMERCIAL SUPPORT SERVICES — 4.9%           
 400,000   Allied Universal Holdco, LLC / Allied Universal(c)  4.6250  06/01/28   402,000 
 620,000   APX Group, Inc.(c)  5.7500  07/15/29   623,294 
 200,000   Atlas LuxCompany 4 S.A.RL / Allied Universal(c)  4.6250  06/01/28   200,250 
 340,000   Bidfair Holdings, Inc.(c)  5.8750  06/01/29   354,311 
 205,000   Brink’s Company (The)(c)  5.5000  07/15/25   216,023 
 340,000   Brink’s Company (The)(c)  4.6250  10/15/27   354,273 
 565,000   Deluxe Corporation(c)  8.0000  06/01/29   618,054 
 510,000   Garda World Security Corporation B(c)  4.6250  02/15/27   512,550 
 533,000   Harsco Corporation(c)  5.7500  07/31/27   554,821 
 380,000   Korn Ferry(c)  4.6250  12/15/27   393,650 
 515,000   Prime Security Services Borrower, LLC / Prime(c)  5.7500  04/15/26   565,215 
 505,000   Sotheby’s(c)  7.3750  10/15/27   540,123 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 95.8% (Continued)           
     COMMERCIAL SUPPORT SERVICES — 4.9% (Continued)           
 580,000   TriNet Group, Inc.(c)  3.5000           03/01/29  $581,908 
               5,916,472 
     CONSTRUCTION MATERIALS — 0.4%           
 505,000   Standard Industries, Inc.(c)  3.3750  01/15/31   490,352 
                 
     CONTAINERS & PACKAGING — 1.1%           
 479,000   Cascades, Inc./Cascades USA, Inc.(c)  5.3750  01/15/28   504,787 
 288,000   Silgan Holdings, Inc.  4.7500  03/15/25   292,830 
 525,000   Trivium Packaging Finance BV(c)  8.5000  08/15/27   566,194 
               1,363,811 
     ELECTRIC UTILITIES — 3.1%           
 451,000   Calpine Corporation(c)  5.0000  02/01/31   457,082 
 332,000   Calpine Corporation(c)  3.7500  03/01/31   320,008 
 539,000   Clearway Energy Operating, LLC  5.0000  09/15/26   553,413 
 550,000   NextEra Energy Operating Partners, L.P.(c)  4.2500  07/15/24   579,906 
 176,000   NRG Energy Inc(c)  3.3750  02/15/29   175,560 
 510,000   NRG Energy Inc B(c)  3.6250  02/15/31   514,552 
 317,000   Talen Energy Supply, LLC(c)  6.6250  01/15/28   282,141 
 785,000   Vistra Operations Company, LLC(c)  5.0000  07/31/27   812,463 
               3,695,125 
     ENGINEERING & CONSTRUCTION — 0.5%           
 557,000   VM Consolidated, Inc.(c)  5.5000  04/15/29   569,527 
                 
     ENTERTAINMENT CONTENT — 1.3%           
 695,000   Banijay Entertainment S.A.SU(c)  5.3750  03/01/25   720,562 
 795,000   Univision Communications, Inc.(c)  6.6250  06/01/27   856,120 
               1,576,682 
     FOOD — 3.4%           
 550,000   Dole Food Company, Inc.(c)  7.2500  06/15/25   563,395 
 208,000   Herbalife Nutrition Ltd. / HLF Financing, Inc.(c)  7.8750  09/01/25   226,200 
 675,000   HLF Financing Sarl, LLC / Herbalife International,(c)  4.8750  06/01/29   682,310 
 205,000   Kraft Heinz Foods Company  4.8750  10/01/49   255,927 
 210,000   Land O’ Lakes, Inc.(c)  7.0000  12/29/49   218,663 
 484,000   Land O’Lakes Capital Trust I(c)  7.4500  03/15/28   557,941 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 95.8% (Continued)           
     FOOD — 3.4% (Continued)           
 520,000   Pilgrim’s Pride Corporation(c)  5.8750  09/30/27   557,081 
 570,000   Post Holdings, Inc.(c)  4.5000  09/15/31   577,575 
 381,000   Simmons Foods, Inc./Simmons Prepared Foods,(c)  4.6250  03/01/29   385,134 
               4,024,226 
     HEALTH CARE FACILITIES & SERVICES — 5.0%           
 357,000   Acadia Healthcare Company, Inc.(c)  5.5000  07/01/28   381,103 
 117,000   Acadia Healthcare Company, Inc.(c)  5.0000  04/15/29   122,706 
 280,000   Catalent Pharma Solutions, Inc.(c)  5.0000  07/15/27   293,933 
 75,000   Catalent Pharma Solutions, Inc.(c)  3.1250  02/15/29   73,600 
 342,000   CHS/Community Health Systems, Inc.(c)  5.6250  03/15/27   362,535 
 850,000   DaVita, Inc.(c)  4.6250  06/01/30   879,750 
 1,040,000   HCA, Inc.  3.5000  09/01/30   1,130,037 
 101,000   Jaguar Holding Company II / PPD Development, L.P.(c)  4.6250  06/15/25   105,879 
 380,000   Jaguar Holding Company II / PPD Development, L.P.(c)  5.0000  06/15/28   409,969 
 452,000   Legacy LifePoint Health, LLC(c)  4.3750  02/15/27   454,633 
 532,000   Team Health Holdings, Inc.(c),(d)  6.3750  02/01/25   494,103 
 525,000   Tenet Healthcare Corporation  4.6250  07/15/24   532,867 
 656,000   Tenet Healthcare Corporation(c)  6.1250  10/01/28   699,490 
               5,940,605 
     HOME CONSTRUCTION — 0.9%           
 464,000   Griffon Corporation  5.7500  03/01/28   488,852 
 489,000   Mattamy Group Corporation(c)  5.2500  12/15/27   510,162 
 48,000   Mattamy Group Corporation(c)  4.6250  03/01/30   49,903 
               1,048,917 
     HOUSEHOLD PRODUCTS — 1.4%           
 665,000   Clearwater Paper Corporation(c)  4.7500  08/15/28   673,997 
 500,000   Edgewell Personal Care Company(c)  4.1250  04/01/29   503,788 
 533,000   Energizer Holdings, Inc.(c)  4.3750  03/31/29   537,360 
               1,715,145 
     INDUSTRIAL SUPPORT SERVICES — 1.1%           
 620,000   Ahern Rentals, Inc.(c),(d)  7.3750  05/15/23   563,915 
 520,000   H&E Equipment Services, Inc.  Series 144A B(c)  3.8750  12/15/28   516,199 
 235,000   United Rentals North America, Inc.  3.7500  01/15/32   235,000 
               1,315,114 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 95.8% (Continued)           
     INSTITUTIONAL FINANCIAL SERVICES — 1.0%           
 725,000   Aretec Escrow Issuer, Inc.(c)  7.5000  04/01/29  $765,745 
 422,000   LPL Holdings, Inc.(c)  4.0000  03/15/29   428,885 
               1,194,630 
     INSURANCE — 0.3%           
 274,000   NMI Holdings, Inc.(c)  7.3750  06/01/25   313,266 
                 
     INTERNET MEDIA & SERVICES — 0.3%           
 375,000   GrubHub Holdings, Inc.(c)  5.5000  07/01/27   394,689 
                 
     LEISURE FACILITIES & SERVICES — 7.6%           
 289,000   Brinker International, Inc.(c)  5.0000  10/01/24   306,521 
 530,000   Caesars Entertainment, Inc.(c)  6.2500  07/01/25   560,358 
 104,000   Carnival Corporation(c)  7.6250  03/01/26   109,980 
 835,000   Carnival Corporation(c)  5.7500  03/01/27   845,960 
 780,000   Carrols Restaurant Group, Inc.(c)  5.8750  07/01/29   757,575 
 575,000   CEC Entertainment Company, LLC(c)  6.7500  05/01/26   575,842 
 550,000   Dave & Buster’s, Inc. B(c)  7.6250  11/01/25   583,912 
 735,000   Hilton Grand Vacations Borrower Escrow, LLC /(c)  5.0000  06/01/29   742,578 
 257,000   Hilton Grand Vacations Borrower, LLC / Hilton  6.1250  12/01/24   268,659 
 629,000   Melco Resorts Finance Ltd.(c)  5.3750  12/04/29   651,408 
 710,000   NCL Corp Ltd. B(c)  3.6250  12/15/24   676,346 
 187,000   NCL Corporation Ltd.(c)  5.8750  03/15/26   188,636 
 603,000   Royal Caribbean Cruises Ltd.(c)  4.2500  07/01/26   589,342 
 126,000   Royal Caribbean Cruises Ltd.(c)  5.5000  04/01/28   128,649 
 445,000   SeaWorld Parks & Entertainment, Inc.(c)  8.7500  05/01/25   480,166 
 76,000   Viking Ocean Cruises Ship VII Ltd.(c)  5.6250  02/15/29   76,291 
 592,000   VOC Escrow Ltd.(c)  5.0000  02/15/28   587,042 
 517,000   Wyndham Destinations, Inc.  5.7500  04/01/27   561,263 
 515,000   Wynn Macau Ltd.(c)  5.1250  12/15/29   520,884 
               9,211,412 
     METALS & MINING — 3.2%           
 200,000   Cleveland-Cliffs, Inc.(c)  6.7500  03/15/26   216,103 
 473,000   Cleveland-Cliffs, Inc.(c)  4.6250  03/01/29   502,612 
 223,000   First Quantum Minerals Ltd. B(c)  6.8750  03/01/26   233,436 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 95.8% (Continued)           
     METALS & MINING — 3.2% (Continued)           
 300,000   First Quantum Minerals Ltd.(c)  6.8750  10/15/27  $325,520 
 469,000   FMG Resources August 2006 Pty Ltd. B(c)  4.5000  09/15/27   513,295 
 260,000   Freeport-McMoRan, Inc.  4.1250  03/01/28   272,675 
 352,000   Freeport-McMoRan, Inc.  5.2500  09/01/29   389,657 
 155,000   Hudbay Minerals, Inc.(c)  6.1250  04/01/29   167,400 
 525,000   Mineral Resources Ltd.(c)  8.1250  05/01/27   575,639 
 570,000   SunCoke Energy, Inc.(c)  4.8750  06/30/29   575,791 
               3,772,128 
     OIL & GAS PRODUCERS — 16.2%           
 775,000   Antero Midstream Partners, L.P. / Antero Midstream(c)  5.7500  01/15/28   812,447 
 190,000   Antero Resources Corporation(c)  5.3750  03/01/30   193,772 
 405,000   Apache Corporation  4.3750  10/15/28   429,798 
 434,000   Apache Corporation  4.7500  04/15/43   447,122 
 854,000   Buckeye Partners, L.P.(c)  4.5000  03/01/28   869,768 
 700,000   California Resources Corporation(c)  7.1250  02/01/26   718,022 
 305,000   Cheniere Energy Partners, L.P.  4.5000  10/01/29   329,400 
 372,000   Cheniere Energy, Inc.  4.6250  10/15/28   393,267 
 284,000   Continental Resources Inc/OK(c)  5.7500  01/15/31   342,744 
 296,000   DCP Midstream Operating, L.P.  5.6250  07/15/27   337,082 
 132,000   DCP Midstream Operating, L.P.(c)  6.7500  09/15/37   163,350 
 235,000   DCP Midstream Operating, L.P.  5.6000  04/01/44   270,250 
 155,000   DT Midstream, Inc.(c)  4.1250  06/15/29   159,178 
 331,000   DT Midstream, Inc.(c)  4.3750  06/15/31   343,851 
 855,000   eG Global Finance plc(c)  6.7500  02/07/25   877,451 
 270,000   Endeavor Energy Resources, L.P. / EER Finance,(c)  5.7500  01/30/28   283,273 
 893,000   Genesis Energy, L.P. / Genesis Energy Finance  5.6250  06/15/24   889,458 
 325,000   Genesis Energy, L.P. / Genesis Energy Finance  6.5000  10/01/25   323,668 
 307,000   Genesis Energy, L.P. / Genesis Energy Finance  8.0000  01/15/27   315,828 
 677,000   Harvest Midstream I, L.P.(c)  7.5000  09/01/28   724,925 
 434,000   Hilcorp Energy I, L.P. / Hilcorp Finance Company(c)  5.7500  02/01/29   443,377 
 479,000   Hilcorp Energy I, L.P. / Hilcorp Finance Company(c)  6.0000  02/01/31   500,313 
 714,000   Holly Energy Partners, L.P. / Holly Energy Finance(c)  5.0000  02/01/28   725,310 
 450,000   Independence Energy Finance, LLC(c)  7.2500  05/01/26   469,699 
 514,000   Indigo Natural Resources, LLC(c)  5.3750  02/01/29   536,953 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 95.8% (Continued)           
     OIL & GAS PRODUCERS — 16.2% (Continued)           
 695,000   ITT Holdings, LLC(c)  6.5000  08/01/29  $694,302 
 406,000   MEG Energy Corporation(c)  6.5000  01/15/25   420,054 
 321,000   MEG Energy Corporation(c)  7.1250  02/01/27   337,735 
 477,000   Murphy Oil Corporation  6.3750  07/15/28   504,959 
 405,000   Murphy Oil USA, Inc.  4.7500  09/15/29   430,598 
 110,000   Murphy Oil USA, Inc.(c)  3.7500  02/15/31   109,874 
 650,000   NGL Energy Operating, LLC / NGL Energy Finance(c)  7.5000  02/01/26   668,707 
 152,000   NuStar Logistics, L.P.  5.7500  10/01/25   165,870 
 379,000   NuStar Logistics, L.P.  6.3750  10/01/30   421,495 
 452,000   Oasis Petroleum, Inc.(c)  6.3750  06/01/26   468,394 
 326,000   Occidental Petroleum Corporation  5.8750  09/01/25   362,232 
 503,000   Occidental Petroleum Corporation  6.3750  09/01/28   587,786 
 251,000   Occidental Petroleum Corporation  6.1250  01/01/31   296,858 
 595,000   PBF Holding Company, LLC / PBF Finance Corporation  6.0000  02/15/28   311,569 
 302,000   Range Resources Corporation(c)  8.2500  01/15/29   334,737 
 600,000   Strathcona Resources Ltd.(c)  6.8750  08/01/26   594,675 
 427,000   Targa Resources Partners, L.P. / Targa Resources(c)  4.8750  02/01/31   462,298 
 433,000   Venture Global Calcasieu Pass, LLC(c)  3.8750  08/15/29   443,284 
               19,515,733 
     OIL & GAS SERVICES & EQUIPMENT — 1.2%           
 663,000   Archrock Partners, L.P. / Archrock Partners(c)  6.8750  04/01/27   697,602 
 317,000   ChampionX Corporation  6.3750  05/01/26   330,490 
 437,000   USA Compression Partners, L.P. / USA Compression  6.8750  04/01/26   458,273 
               1,486,365 
     PUBLISHING & BROADCASTING — 1.1%           
 735,000   Belo Corporation  7.7500  06/01/27   862,824 
 47,000   Belo Corporation  7.2500  09/15/27   55,106 
 395,000   Gray Television, Inc.(c)  4.7500  10/15/30   392,306 
               1,310,236 
     REAL ESTATE INVESTMENT TRUSTS — 2.5%           
 273,000   CTR Partnership, L.P. / CareTrust Capital(c)  3.8750  06/30/28   280,416 
 690,000   HAT Holdings I, LLC / HAT Holdings II, LLC(c)  3.3750  06/15/26   700,177 
 419,000   MPT Operating Partnership, L.P. / MPT Finance  5.0000  10/15/27   444,078 
 223,000   MPT Operating Partnership, L.P. / MPT Finance  3.5000  03/15/31   229,133 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 95.8% (Continued)           
     REAL ESTATE INVESTMENT TRUSTS — 2.5% (Continued)           
 285,000   Park Intermediate Holdings, LLC / PK Domestic(c)  5.8750  10/01/28  $305,187 
 86,000   Park Intermediate Holdings, LLC / PK Domestic(c)  4.8750  05/15/29   88,060 
 302,000   Service Properties Trust  5.2500  02/15/26   305,222 
 96,000   Service Properties Trust  4.7500  10/01/26   94,486 
 46,000   Service Properties Trust  5.5000  12/15/27   49,104 
 57,000   Service Properties Trust  3.9500  01/15/28   53,509 
 165,000   Service Properties Trust  4.9500  10/01/29   160,306 
 374,000   Service Properties Trust  4.3750  02/15/30   350,619 
               3,060,297 
     REAL ESTATE OWNERS & DEVELOPERS — 0.4%           
 438,000   Kennedy-Wilson, Inc.  4.7500  03/01/29   450,593 
                 
     REAL ESTATE SERVICES — 0.4%           
 416,000   Cushman & Wakefield US Borrower, LLC(c)  6.7500  05/15/28   447,974 
                 
     RENEWABLE ENERGY — 0.3%           
 300,000   EnerSys(c)  4.3750  12/15/27   314,297 
                 
     RETAIL - CONSUMER STAPLES — 0.4%           
 440,000   Albertsons Companies Inc / Safeway Inc / New(c)  4.6250  01/15/27   466,070 
                 
     RETAIL - DISCRETIONARY — 1.4%           
 462,000   Carvana Company(c)  5.5000  04/15/27   478,748 
 600,000   Metis Merger Sub, LLC(c)  6.5000  05/15/29   589,254 
 569,000   Park River Holdings, Inc.(c)  6.7500  08/01/29   575,472 
               1,643,474 
     SOFTWARE — 1.7%           
 115,000   Clarivate Science Holdings Corporation(c)  3.8750  06/30/28   116,104 
 343,000   Clarivate Science Holdings Corporation(c)  4.8750  06/30/29   346,368 
 477,000   Donnelley Financial Solutions, Inc.  8.2500  10/15/24   494,411 
 160,000   Elastic N.V.(c)  4.1250  07/15/29   160,806 
 595,000   Rackspace Technology Global, Inc.(c)  3.5000  02/15/28   574,663 
 375,000   SS&C Technologies, Inc.(c)  5.5000  09/30/27   397,350 
               2,089,702 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 95.8% (Continued)              
     SPECIALTY FINANCE — 8.1%              
 570,000   AerCap Global Aviation Trust(c)  US0003M + 4.300%  6.5000  06/15/45  $613,112 
 555,000   Alliance Data Systems Corporation(c)     4.7500  12/15/24   571,306 
 535,000   Burford Capital Global Finance, LLC(c)     6.2500  04/15/28   564,856 
 559,000   Credit Acceptance Corporation(d)     6.6250  03/15/26   591,143 
 600,000   Curo Group Holdings Corporation(c)     7.5000  08/01/28   611,250 
 921,000   Enova International, Inc.(c)     8.5000  09/01/24   947,473 
 512,000   FirstCash, Inc.(c)     4.6250  09/01/28   532,982 
 123,000   Freeport-McMoRan, Inc.     4.6250  08/01/30   135,314 
 781,000   Genworth Mortgage Holdings, Inc.(c)     6.5000  08/15/25   848,164 
 331,000   goeasy Ltd.(c)     5.3750  12/01/24   344,554 
 324,000   goeasy Ltd.(c)     4.3750  05/01/26   335,100 
 885,000   Ladder Capital Finance Holdings LLLP / Ladder(c)     4.2500  02/01/27   884,640 
 263,000   OneMain Finance Corporation     6.8750  03/15/25   298,998 
 92,000   OneMain Finance Corporation     3.5000  01/15/27   93,733 
 600,000   OneMain Finance Corporation     4.0000  09/15/30   598,500 
 475,000   Pattern Energy Operations, L.P. / Pattern Energy(c)     4.5000  08/15/28   491,247 
 342,000   Quicken Loans, LLC / Quicken Loans Co-Issuer, Inc.(c)     3.6250  03/01/29   343,356 
 101,000   Starwood Property Trust, Inc.(c)     5.5000  11/01/23   106,050 
 588,000   Starwood Property Trust, Inc.     4.7500  03/15/25   622,122 
 175,000   Starwood Property Trust, Inc.(c)     3.6250  07/15/26   178,151 
                  9,712,051 
     STEEL — 0.6%              
 167,000   Cleveland-Cliffs, Inc.     6.2500  10/01/40   181,194 
 542,000   Commercial Metals Company     3.8750  02/15/31   545,466 
                  726,660 
     TECHNOLOGY HARDWARE — 1.3%              
 560,000   Imola Merger Corporation(c)     4.7500  05/15/29   578,751 
 550,000   NCR Corporation(c)     5.1250  04/15/29   573,249 
 372,000   TTM Technologies, Inc.(c)     4.0000  03/01/29   374,812 
                  1,526,812 
     TECHNOLOGY SERVICES — 3.9%              
 605,000   Ahead DB Holdings, LLC(c)     6.6250  05/01/28   623,924 
 395,000   Banff Merger Sub, Inc.(c)     9.7500  09/01/26   415,759 
 680,000   ION Trading Technologies Sarl(c)     5.7500  05/15/28   705,242 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 95.8% (Continued)           
     TECHNOLOGY SERVICES — 3.9% (Continued)           
 725,000   MoneyGram International, Inc.(c)  5.3750  08/01/26  $753,094 
 1,080,000   MPH Acquisition Holdings, LLC(c),(d)  5.7500  11/01/28   1,049,026 
 129,000   Nielsen Finance, LLC / Nielsen Finance Company(c)  5.6250  10/01/28   136,484 
 402,000   Nielsen Finance, LLC / Nielsen Finance Company(c)  5.8750  10/01/30   441,035 
 570,000   Paysafe Finance plc / Paysafe Holdings US(c)  4.0000  06/15/29   554,211 
               4,678,775 
     TELECOMMUNICATIONS — 4.9%           
 720,000   Altice France Holding S.A.(c)  6.0000  02/15/28   711,000 
 200,000   Altice France S.A.(c)  7.3750  05/01/26   208,250 
 345,000   Altice France S.A.(c)  5.1250  07/15/29   347,988 
 360,000   Cablevision Lightpath, LLC(c)  3.8750  09/15/27   358,517 
 410,000   CenturyLink, Inc.(c)  5.1250  12/15/26   426,634 
 680,000   Connect Finco S.A.RL / Connect US Finco, LLC(c)  6.7500  10/01/26   715,700 
 505,000   Frontier Communications Corporation(c)  5.0000  05/01/28   523,041 
 660,000   Hughes Satellite Systems Corporation(d)  6.6250  08/01/26   743,796 
 705,000   Lumen Technologies, Inc.(c)  5.3750  06/15/29   724,560 
 302,000   Telesat Canada / Telesat, LLC(c)  4.8750  06/01/27   271,272 
 639,000   Telesat Canada / Telesat, LLC(c)  6.5000  10/15/27   528,773 
 391,000   Zayo Group Holdings, Inc.(c)  6.1250  03/01/28   398,394 
               5,957,925 
     TRANSPORTATION & LOGISTICS — 2.9%           
 206,000   Air Canada(c)  3.8750  08/15/26   206,311 
 1,065,000   American Airlines, Inc.(c)  11.7500  07/15/25   1,332,581 
 159,317   American Airlines, Inc./AAdvantage Loyalty IP Ltd.(c)  5.5000  04/20/26   166,885 
 127,000   American Airlines, Inc./AAdvantage Loyalty IP Ltd.(c)  5.7500  04/20/29   137,184 
 650,000   Cargo Aircraft Management, Inc.(c)  4.7500  02/01/28   665,928 
 145,699   Hawaiian Brand Intellectual Property Ltd. /(c)  5.7500  01/20/26   152,910 
 144,702   UAL 2007-1 Pass Through Trust  Series 2017-1 Class A  6.6360  07/02/22   150,017 
 110,000   United Airlines Holdings, Inc.(d)  4.8750  01/15/25   112,355 
 271,000   United Airlines, Inc.(c)  4.3750  04/15/26   279,165 
 312,000   United Airlines, Inc.(c)  4.6250  04/15/29   322,280 
               3,525,616 
     TRANSPORTATION EQUIPMENT — 0.8%           
 505,000   Allison Transmission Inc B(c)  3.7500  01/30/31   503,195 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 95.8% (Continued)           
     TRANSPORTATION EQUIPMENT — 0.8% (Continued)           
 380,000   JB Poindexter & Company, Inc.(c)  7.1250  04/15/26  $401,485 
               904,680 
     WHOLESALE - CONSUMER STAPLES — 0.8%           
 520,000   C&S Group Enterprises, LLC(c)  5.0000  12/15/28   516,750 
 450,000   Performance Food Group, Inc.(c)  5.5000  10/15/27   469,315 
               986,065 
     TOTAL CORPORATE BONDS (Cost $111,121,732)         115,092,550 
Shares               
     COLLATERAL FOR SECURITIES LOANED — 2.5%           
 2,965,125   HSBC US Government Money Market Fund - Class I, 0.03% (Cost $2,965,125)(e),(f)         2,965,125 
     TOTAL INVESTMENTS - 98.6% (Cost $115,280,338)        $118,366,064 
     OTHER ASSETS IN EXCESS OF LIABILITIES- 1.4%         1,672,625 
     NET ASSETS - 100.0%       $120,038,689 

 

LLC - Limited Liability Company
   
L.P. - Limited Partnership
   
Ltd. - Limited Company
   
NV - Naamioze Vennootschap
   
plc - Public Limited Company
   
REIT - Real Estate Investment Trust
   
S/A - Société Anonyme
   
US0003M - ICE LIBOR USD 3 Month

 

(a) Percentage rounds to less than 0.1%.
   
(b) Non-income producing security.
   
(c) Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers.  As of July 31, 2021 the total market value of 144A securities is 92,041,008 or 76.7% of net assets.
   
(d) All or a portion of these securities are on loan. Total loaned securities had a value of $2,906,812 at July 31, 2021.
   
(e) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(f) The Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement.  The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity   Fair Value 
    ASSET BACKED SECURITIES — 0.1%           
     RESIDENTIAL MORTGAGE — 0.1%                
 60,126 EUR   Bankinter 10 FTA(a)  EUR003M + 0.160%  0.0001   06/21/43   $71,250 
 25,200 EUR   Fondo de Titulizacion de Activos Santander(a)  EUR003M + 0.150%  0.0001   01/18/49    29,907 
     TOTAL ASSET BACKED SECURITIES (Cost $90,619)              101,157 
                      
     CORPORATE BONDS — 65.8%                
     AEROSPACE & DEFENSE — 0.7%                
 250,000 EUR   Airbus S.E.     2.3750   06/09/40    359,261 
 100,000 EUR   Rolls-Royce plc(b)     4.6250   02/16/26    129,035 
                    488,296 
     ASSET MANAGEMENT — 0.5%                
 300,000 EUR   JAB Holdings BV     1.0000   12/20/27    369,440 
                      
     AUTOMOTIVE — 2.3%                
 300,000 EUR   Daimler A.G.     0.7500   02/08/30    372,377 
 200,000 EUR   Fiat Chrysler Automobiles N.V.     3.8750   01/05/26    273,771 
 300,000 USD   Hyundai Capital America(b)     1.3000   01/08/26    298,544 
 300,000 USD   Nissan Motor Company Ltd.(b)     3.5220   09/17/25    321,880 
 40,000 USD   Uzauto Motors AJ(b)     4.8500   05/04/26    40,243 
 200,000 EUR   Volkswagen International Finance N.V.     1.8750   03/30/27    260,539 
 100,000 EUR   ZF Finance GmbH     3.7500   09/21/28    131,304 
                    1,698,658 
     BANKING — 8.5%                
 250,000 EUR   AIB Group plc     2.2500   07/03/25    322,816 
 300,000 EUR   Banco Bilbao Vizcaya Argentaria S.A.     3.5000   02/10/27    414,669 
 63,000 USD   Banco do Brasil S.A.  H15T10Y + 6.362%  9.0000   12/18/69    70,324 
 715,000 USD   Banco Mercantil del Norte S.A.(b)  H15T5Y + 4.967%  6.7500   09/27/68    768,518 
 300,000 EUR   Banco Santander S.A.     1.1250   01/17/25    369,751 
 275,000 USD   Bank of Ireland Group plc(b)     4.5000   11/25/23    297,573 
 300,000 EUR   Banque Federative du Credit Mutuel S.A.     2.6250   03/18/24    383,634 
 350,000 USD   Barclays plc     4.8360   05/09/28    397,395 
 200,000 EUR   BPCE S.A.     4.6250   07/18/23    259,563 
 225,000 EUR   Cooperatieve Rabobank UA     1.3750   02/03/27    289,969 
 300,000 EUR   Credit Agricole S.A.     1.8750   12/20/26    390,137 
 250,000 USD   Danske Bank A/S(b)  H15T1Y + 1.350%  1.6210   09/11/26    252,442 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

  

Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity   Fair Value 
    CORPORATE BONDS — 65.8% (Continued)           
     BANKING — 8.5% (Continued)                
 300,000 USD   Deutsche Bank AG/New York NY  SOFRRATE + 1.870%  2.1290   11/24/26   $306,730 
 175,000 USD   HSBC Holdings plc(c)  SOFRRATE + 1.538%  1.6450   04/18/26    177,679 
 100,000 USD   HSBC Holdings PLC  SOFRRATE + 1.290%  1.5890   05/24/27    100,661 
 250,000 USD   Lloyds Banking Group plc     4.5820   12/10/25    281,879 
 300,000 USD   Mizuho Financial Group, Inc.  SOFRRATE + 1.532%  1.9790   09/08/31    297,551 
 250,000 EUR   Natwest Group plc  EUR003M + 1.080%  1.7500   03/02/26    314,071 
 150,000 USD   Standard Chartered plc(b)  US0003M + 1.209%  2.8190   01/30/26    157,495 
 150,000 USD   Standard Chartered plc(b)  H15T5Y + 2.300%  3.2650   02/18/36    151,917 
 150,000 USD   Standard Chartered plc(b)     5.7000   03/26/44    198,366 
                    6,203,140 
     BEVERAGES — 1.2%                
 300,000 EUR   Anheuser-Busch InBev S.A./NV     1.1500   01/22/27    379,480 
 200,000 EUR   Heineken N.V.     3.5000   03/19/24    260,747 
 200,000 EUR   Pernod Ricard S.A.     1.5000   05/18/26    256,291 
                    896,518 
     BIOTECH & PHARMA — 2.7%                
 300,000 EUR   Bayer A.G.     1.3750   07/06/32    374,621 
 250,000 GBP   GlaxoSmithKline Capital plc     1.2500   10/12/28    350,649 
 100,000 EUR   Grifols S.A.     3.2000   05/01/25    119,724 
 100,000 EUR   Grifols S.A.     2.2500   11/15/27    120,976 
 300,000 EUR   Mylan N.V.     3.1250   11/22/28    418,811 
 100,000 EUR   Nidda BondCompany GmbH     5.0000   09/30/25    119,030 
 100,000 EUR   Nidda Healthcare Holding GmbH     3.5000   09/30/24    118,802 
 300,000 USD   Perrigo Finance Unlimited Company(c)     3.1500   06/15/30    314,118 
                    1,936,731 
     CABLE & SATELLITE — 1.2%                
 100,000 EUR   Telenet Finance Luxembourg Notes Sarl     3.5000   03/01/28    123,566 
 200,000 EUR   UPCB Finance VII Ltd.     3.6250   06/15/29    244,123 
 100,000 GBP   Virgin Media Secured Finance plc     5.0000   04/15/27    144,694 
 100,000 GBP   Virgin Media Secured Finance plc     4.2500   01/15/30    139,470 
 100,000 EUR   Ziggo Bond Company BV(b)     3.3750   02/28/30    118,228 
 100,000 EUR   Ziggo BV     2.8750   01/15/30    119,762 
                    889,843 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity   Fair Value 
    CORPORATE BONDS — 65.8% (Continued)           
    CHEMICALS — 1.2%           
 100,000 EUR   CeramTec BondCompany GmbH     5.2500   12/15/25   $120,869 
 100,000 EUR   Chemours Company (The)     4.0000   05/15/26    121,456 
 100,000 EUR   INEOS Quattro Finance 1 plc     3.7500   07/15/26    122,278 
 100,000 EUR   Nobian Finance BV(b)     3.6250   07/15/26    118,580 
 100,000 EUR   OCI N.V.     3.1250   11/01/24    121,010 
 100,000 EUR   Solvay Finance S.A.CA  EUSA5 + 5.223%  5.8690   06/03/68    134,461 
 100,000 EUR   SPCM SA(b)     2.0000   02/01/26    120,964 
                    859,618 
     COMMERCIAL SUPPORT SERVICES — 0.2%                
 100,000 EUR   Intertrust Group BV     3.3750   11/15/25    121,384 
                      
     CONSTRUCTION MATERIALS — 1.4%                
 69,000 USD   Cemex S.A.B. de C.V.(b)     7.3750   06/05/27    78,180 
 911,000 USD   Cemex S.A.B. de C.V.(b)  H15T5Y + 4.534%  5.1250   09/08/69    957,516 
                    1,035,696 
     CONTAINERS & PACKAGING — 1.3%                
 200,000 EUR   Ardagh Metal Packaging Finance USA, LLC / Ardagh(b)     3.0000   09/01/29    238,175 
 200,000 GBP   Ardagh Packaging Finance plc / Ardagh Holdings     4.7500   07/15/27    284,966 
 85,000 USD   Klabin Austria GmbH(b)     3.2000   01/12/31    84,131 
 100,000 EUR   Smurfit Kappa Treasury ULC     1.5000   09/15/27    127,320 
 200,000 EUR   Trivium Packaging Finance BV     3.7500   08/15/26    240,395 
                    974,987 
     ELEC & GAS MARKETING & TRADING — 0.4%                
 250,000 EUR   Orsted A/S     1.5000   11/26/29    329,218 
                      
     ELECTRIC UTILITIES — 4.3%                
 1,341,000 USD   Eskom Holdings SOC Ltd.(b)     6.7500   08/06/23    1,400,701 
 95,000 USD   Eskom Holdings SOC Ltd.(b)     7.1250   02/11/25    100,092 
 158,000 USD   Eskom Holdings SOC Ltd.(b)     8.4500   08/10/28    178,341 
 66,000 USD   Greenko Dutch BV(b)     3.8500   03/29/26    66,646 
 200,000 EUR   Iberdrola Finanzas S.A.     1.0000   03/07/25    247,894 
 180,000 USD   Inkia Energy Ltd.(b)     5.8750   11/09/27    184,248 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
        Spread  Coupon Rate
(%)
  Maturity   Fair Value 
      CORPORATE BONDS — 65.8% (Continued)                 
      ELECTRIC UTILITIES — 4.3% (Continued)                 
 250,000 EUR    innogy Finance BV      1.0000   04/13/25   $308,619 
 300,000 EUR    Naturgy Finance BV      1.5000   01/29/28    388,483 
 233,000 USD    Star Energy Geothermal Darajat II / Star Energy(b)      4.8500   10/14/38    255,981 
                      3,131,005 
      ELECTRICAL EQUIPMENT — 0.9%                 
 300,000 GBP    Siemens Financieringsmaatschappij N.V.      1.0000   02/20/25    422,385 
 200,000 EUR    Vertical Midco GmbH      4.3750   07/15/27    248,532 
                      670,917 
      ENGINEERING & CONSTRUCTION — 0.4%                 
 248,000 USD    IHS Netherlands Holdco BV(b)      8.0000   09/18/27    266,600 
                        
      FOOD — 2.1%                 
 634,000 USD    Adecoagro S.A.(b)      6.0000   09/21/27    670,239 
 749,000 USD    Minerva Luxembourg S.A.(b)      4.3750   03/18/31    736,829 
 100,000 EUR    Sigma Holdco BV      5.7500   05/15/26    114,874 
                      1,521,942 
      FORESTRY, PAPER & WOOD PRODUCTS — 0.2%                 
 100,000 EUR    WEPA Hygieneprodukte GmbH      2.8750   12/15/27    117,089 
                        
      GAS & WATER UTILITIES — 0.3%                 
 200,000 EUR    Veolia Environnement S.A.      1.4960   11/30/26    257,102 
                        
      HOUSEHOLD PRODUCTS — 0.2%                 
 100,000 EUR    Energizer Gamma Acquisition BV(b)      3.5000   06/30/29    119,025 
                        
      INDUSTRIAL INTERMEDIATE PROD — 0.6%                 
 407,000 USD    HTA Group Ltd./Mauritius(b)      7.0000   12/18/25    431,987 
                        
      INDUSTRIAL SUPPORT SERVICES — 0.5%                 
 100,000 EUR    Loxam S.A.S      3.7500   07/15/26    121,604 
 100,000 EUR    Techem Verwaltungsgesellschaft 674 mbH      6.0000   07/30/26    122,187 
 100,000 EUR    Techem Verwaltungsgesellschaft 675 mbH(b)      2.0000   07/15/25    118,208 
                      361,999 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity   Fair Value 
    CORPORATE BONDS — 65.8% (Continued)           
     INSTITUTIONAL FINANCIAL SERVICES — 0.7%                
 250,000 USD   LSEGA Financing plc(b)     2.0000   04/06/28   $256,434 
 225,000 USD   Nomura Holdings, Inc.     1.6530   07/14/26    226,301 
                    482,735 
     INSURANCE — 1.3%                
 200,000 EUR   Allianz S.E.  EUR003M + 3.350%  3.0990   07/06/47    272,882 
 300,000 EUR   Great-West Lifeco, Inc.     2.5000   04/18/23    372,940 
 250,000 EUR   NN Group N.V.     1.6250   06/01/27    324,925 
                    970,747 
     INTERNET MEDIA & SERVICES — 0.3%                
 200,000 USD   Tencent Holdings Ltd.(b)     3.2400   06/03/50    195,438 
                      
     LEISURE FACILITIES & SERVICES — 0.8%                
 100,000 EUR   Gamma Bidco SpA(b)     5.1250   07/15/25    121,989 
 100,000 EUR   Gamma Bidco SpA     6.2500   07/15/25    124,840 
 100,000 EUR   Motion Finco Sarl     7.0000   05/15/25    125,547 
 100,000 EUR   Scientific Games International, Inc.     5.5000   02/15/26    121,841 
 73,000 USD   Studio City Finance Ltd.(b)     6.0000   07/15/25    76,358 
                    570,575 
     MEDICAL EQUIPMENT & DEVICES — 0.5%                
 300,000 EUR   Medtronic Global Holdings SCA     0.7500   10/15/32    369,459 
                      
     METALS & MINING — 1.9%                
 562,000 USD   First Quantum Minerals Ltd. B(b),(c)     6.8750   03/01/26    588,302 
 300,000 EUR   Glencore Capital Finance DAC     1.1250   03/10/28    368,299 
 78,000 USD   Indika Energy Capital IV Pte Ltd.(b)     8.2500   10/22/25    82,005 
 26,000 USD   Indonesia Asahan Aluminium Persero PT(b)     5.8000   05/15/50    30,917 
 58,000 USD   Southern Copper Corporation     6.7500   04/16/40    80,824 
 63,000 USD   Vedanta Resources Finance II plc(b)     8.9500   03/11/25    59,462 
 204,000 USD   Vedanta Resources Ltd.(b)     6.3750   07/30/22    202,059 
                    1,411,868 
     OIL & GAS PRODUCERS — 8.1%                
 57,000 USD   AI Candelaria Spain SLU(b)     7.5000   12/15/28    63,619 
 325,000 USD   BP Capital Markets plc  H15T5Y + 4.036%  4.3750   09/22/68    347,750 
 100,000 EUR   eG Global Finance plc     6.2500   10/30/25    121,805 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
        Spread   Coupon Rate
(%)
  Maturity   Fair Value 
     CORPORATE BONDS — 65.8% (Continued)                 
     OIL & GAS PRODUCERS — 8.1% (Continued)                 
 97,000 USD   Geopark Ltd.(b)      5.5000   01/17/27   $97,945 
 223,000 USD   Gran Tierra Energy International Holdings Ltd.(b),(c)      6.2500   02/15/25    197,633 
 80,000 USD   Gran Tierra Energy, Inc.(b)      7.7500   05/23/27    70,852 
 97,000 USD   KazMunayGas National Company JSC(b)      5.7500   04/19/47    121,060 
 94,000 USD   Leviathan Bond Ltd.      6.5000   06/30/27    103,933 
 240,000 USD   MC Brazil Downstream Trading S.A.RL(b)      7.2500   06/30/31    250,428 
 22,000 USD   Oil and Gas Holding Company BSCC (The)(b)      7.6250   11/07/24    24,502 
 100,000 USD   Pertamina Persero PT(b)      2.3000   02/09/31    96,399 
 159,000 USD   Petroleos Mexicanos(c)      6.8750   08/04/26    175,214 
 48,000 USD   Petroleos Mexicanos      5.3500   02/12/28    47,623 
 50,000 USD   Petroleos Mexicanos      5.9500   01/28/31    49,213 
 141,000 USD   Petroleos Mexicanos      6.6250   06/15/35    136,473 
 13,000 USD   Petroleos Mexicanos      6.6250   06/15/38    12,046 
 31,000 USD   Petroleos Mexicanos      6.7500   09/21/47    27,756 
 119,000 USD   Petroleos Mexicanos      7.6900   01/23/50    115,817 
 160,000 USD   Petroleos Mexicanos(c)      6.9500   01/28/60    143,792 
 287,000 USD   Qatar Petroleum(b)      2.2500   07/12/31    290,839 
 571,000 USD   SierraCol Energy Andina, LLC(b)      6.0000   06/15/28    572,428 
 300,000 USD   Total Capital International S.A.      3.1270   05/29/50    313,964 
 1,598,000 USD   Tullow Oil plc(b)      7.0000   03/01/25    1,388,343 
 329,000 USD   Tullow Oil plc(b)      10.2500   05/15/26    343,631 
 988,000 USD   YPF S.A.(b)      8.5000   07/28/25    771,885 
                     5,884,950 
     PUBLISHING & BROADCASTING — 0.4%                 
 250,000 EUR   Informa plc      2.1250   10/06/25    316,890 
                       
     REAL ESTATE OWNERS & DEVELOPERS — 4.8%                 
 636,000 USD   China SCE Group Holdings Ltd.      7.3750   04/09/24    637,581 
 700,000 USD   China SCE Group Holdings Ltd.      7.0000   05/02/25    674,625 
 500,000 USD   Theta Capital Pte Ltd.      8.1250   01/22/25    501,887 
 250,000 USD   Theta Capital Pte Ltd.      6.7500   10/31/26    234,715 
 1,300,000 USD   Wanda Properties International Company Ltd.      7.2500   01/29/24    1,261,650 
 200,000 USD   Wanda Properties Overseas Ltd.      6.9500   12/05/22    192,749 
                     3,503,207 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
       Spread   Coupon Rate
(%)
  Maturity   Fair Value 
     CORPORATE BONDS — 65.8% (Continued)                 
     REAL ESTATE SERVICES — 0.8%                 
 557,000 USD   ESR Cayman Ltd.      7.8750   04/04/22   $569,529 
                       
     REIT — 0.9%                 
 400,000 USD   LMIRT Capital Pte Ltd.      7.2500   06/19/24    402,322 
 200,000 GBP   Westfield America Management Ltd.      2.1250   03/30/25    285,376 
                     687,698 
     RENEWABLE ENERGY — 0.8%                 
 439,000 USD   Aydem Yenilenebilir Enerji A/S(b)      7.7500   02/02/27    442,402 
 125,000 USD   Investment Energy Resources Ltd.(b)      6.2500   04/26/29    136,619 
                     579,021 
     RETAIL - CONSUMER STAPLES — 0.6%                 
 100,000 GBP   Bellis Acquisition Company plc(b)      3.2500   02/16/26    138,948 
 100,000 GBP   Bellis Finco plc(b)      4.0000   02/16/27    138,861 
 100,000 EUR   Quatrim S.A.SU      5.8750   01/15/24    122,678 
                     400,487 
     SEMICONDUCTORS — 0.2%                 
 150,000 USD   TSMC Global Ltd.(b)      1.0000   09/28/27    146,035 
                       
     SPECIALTY FINANCE — 0.4%                 
 100,000 EUR   Parts Europe S.A.(b)      6.5000   07/16/25    124,830 
 184,000 USD   Studio City Finance Ltd.(b)      6.5000   01/15/28    193,422 
                     318,252 
     STEEL — 3.1%                 
 158,000 USD   CSN Inova Ventures(b)      6.7500   01/28/28    174,684 
 518,000 USD   CSN Resources S.A.(b)      7.6250   04/17/26    553,613 
 1,374,000 USD   Metinvest BV(b)      7.7500   10/17/29    1,518,188 
                     2,246,485 
     TECHNOLOGY HARDWARE — 0.5%                 
 100,000 EUR   Nokia OYJ      3.1250   05/15/28    134,064 
 250,000 USD   Seagate HDD Cayman(b)      4.1250   01/15/31    261,875 
                     395,939 
     TELECOMMUNICATIONS — 3.3%                 
 100,000 EUR   Altice France Holding S.A.(b)      8.0000   05/15/27    127,551 
 100,000 EUR   Altice France S.A.(b)      2.1250   02/15/25    115,966 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity   Fair Value 
    CORPORATE BONDS — 65.8% (Continued)           
     TELECOMMUNICATIONS — 3.3% (Continued)                
 230,000 USD   Axtel S.A.B. de C.V.(b)     6.3750   11/14/24   $239,090 
 250,000 EUR   Deutsche Telekom International Finance BV     0.8750   01/30/24    305,491 
 180,000 USD   Millicom International Cellular S.A.(b)     5.1250   01/15/28    187,825 
 300,000 EUR   Orange S.A.     2.0000   01/15/29    408,319 
 100,000 EUR   Telecom Italia SpA     3.6250   05/25/26    132,140 
 100,000 EUR   Telefonica Europe BV  EUSA6 + 4.107%  4.3750   03/14/68    129,834 
 250,000 USD   VF Ukraine PAT via VFU Funding plc(b)     6.2000   02/11/25    259,455 
 200,000 USD   Vodafone Group plc     4.2500   09/17/50    236,587 
 100,000 EUR   Vodafone Group plc  EUSA5 + 2.669%  3.1000   01/03/79    124,006 
 100,000 EUR   Vodafone Group plc  EUSA5 + 3.002%  2.6250   08/27/80    123,947 
                    2,390,211 
     TOBACCO & CANNABIS — 0.5%                
 300,000 USD   BAT Capital Corporation(c)     4.7000   04/02/27    341,454 
                      
     TRANSPORTATION & LOGISTICS — 4.8%                
 200,000 EUR   Abertis Infraestructuras S.A.     2.3750   09/27/27    264,822 
 100,000 USD   Aeropuerto Internacional de Tocumen S.A.     5.6250   05/18/36    114,325 
 84,817 USD   Aeropuerto Internacional de Tocumen S.A.(b)     6.0000   11/18/48    99,193 
 139,000 USD   Aerovias de Mexico S.A. de CV(b),(d)     7.0000   02/05/25    116,410 
 64,000 USD   DP World plc(b)     5.6250   09/25/48    80,326 
 6,000 USD   DP World plc(b)     4.7000   09/30/49    6,696 
 1,245,000 USD   DP World Salaam  H15T5Y + 5.750%  6.0000   01/01/70    1,361,963 
 662,000 USD   Gol Finance S.A.(b)     7.0000   01/31/25    615,660 
 200,000 GBP   Heathrow Finance plc     6.2500   03/03/25    303,896 
 100,000 GBP   Heathrow Funding Ltd.     7.1250   02/14/24    158,467 
 155,000 USD   Rumo Luxembourg Sarl(b)     5.2500   01/10/28    165,819 
 218,000 USD   Simpar Europe S.A.(b)     5.2000   01/26/31    222,898 
                    3,510,475 
                      
                            TOTAL CORPORATE BONDS (Cost $46,439,888)               47,972,650 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
       Spread   Coupon Rate
(%)
  Maturity   Fair Value 
     FOREIGN GOVERNMENT & AGENCIES — 30.7%       
     GOVERNMENT GUARANTEED — 0.1%                 
 39,200 USD   Brazil Minas SPE via State of Minas Gerais(b)      5.3330   02/15/28   $42,458 
                       
     LOCAL AUTHORITY — 0.4%                 
 150,000 CAD   Province of British Columbia Canada      3.2000   06/18/44    136,877 
 250,000 CAD   Province of Ontario Canada      2.8000   06/02/48    210,494 
                     347,371 
     NON U.S. TREASURY — 14.6%                 
 860,000 AUD   Australia Government Bond      1.2500   05/21/32    634,629 
 291,000 BRL   Brazilian Government International Bond      12.5000   01/05/22    58,414 
 883,000 BRL   Brazilian Government International Bond      12.5000   01/05/22    177,250 
 550,000 CAD   Canadian Government Bond      2.2500   06/01/29    480,520 
 1,696,900,000 COP   Colombian TES      6.0000   04/28/28    424,997 
 3,206,000 EGP   Egypt Government Bond      13.7650   01/05/24    201,830 
 3,700,000 EGP   Egypt Treasury Bills(e)      0.0000   09/28/21    231,908 
 1,348,000,000 IDR   Indonesia Treasury Bond      9.0000   03/15/29    109,474 
 8,548,000,000 IDR   Indonesia Treasury Bond      7.0000   09/15/30    622,075 
 930,000,000 IDR   Indonesia Treasury Bond      8.2500   06/15/32    72,329 
 755,000,000 IDR   Indonesia Treasury Bond      8.3750   03/15/34    58,983 
 76,000 EUR   Ireland Government Bond      5.4000   03/13/25    110,076 
 50,000 EUR   Ireland Government Bond      0.9000   05/15/28    64,644 
 130,000 EUR   Ireland Government Bond      1.3000   05/15/33    177,579 
 240,000 EUR   Italy Buoni Poliennali Del Tesoro      4.5000   03/01/24    320,127 
 750,000 EUR   Italy Buoni Poliennali Del Tesoro      2.8000   12/01/28    1,052,390 
 640,000 EUR   Italy Buoni Poliennali Del Tesoro(b)      2.4500   09/01/33    900,905 
 180,000 EUR   Italy Buoni Poliennali Del Tesoro      5.0000   08/01/39    344,114 
 235,000 EUR   Italy Buoni Poliennali Del Tesoro      5.0000   09/01/40    454,425 
 6,150,000 JPY   Japan Government Forty Year Bond      0.8000   03/20/58    57,916 
 17,000,000 JPY   Japan Government Thirty Year Bond      1.5000   03/20/45    190,235 
 17,150,000 JPY   Japan Government Thirty Year Bond      0.5000   09/20/46    155,618 
 4,149,000 MXN   Mexican Bonos      7.5000   06/03/27    217,569 
 8,500,000 MXN   Mexican Bonos      7.7500   11/13/42    435,880 
 100,000 EUR   Portugal Obrigacoes do Tesouro OT      4.1250   04/14/27    149,695 
 995,000 ZAR   Republic of South Africa Government Bond      6.2500   03/31/36    48,098 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
    

 

Spread  Coupon Rate
(%)
  Maturity   Fair Value 
     FOREIGN GOVERNMENT & AGENCIES — 30.7% (Continued)       
     NON U.S. TREASURY — 14.6% (Continued)                 
 10,219,000 RUB   Russian Federal Bond - OFZ      7.4000   12/07/22   $141,129 
 6,120,000 RUB   Russian Federal Bond - OFZ      6.9000   05/23/29    84,612 
 21,770,000 RUB   Russian Federal Bond - OFZ      7.7000   03/23/33    318,302 
 23,950,000 RUB   RUSSIAN FEDERAL BOND - OFZ      7.0500   01/19/28    333,478 
 350,000 EUR   Spain Government Bond      1.2500   10/31/30    457,938 
 170,000 EUR   Spain Government Bond      4.2000   01/31/37    309,510 
 250,000 EUR   Spain Government Bond      2.7000   10/31/48    408,432 
 300,000 GBP   United Kingdom Gilt      4.5000   09/07/34    610,486 
 9,220,000 UYU   Uruguay Government International Bond      9.8750   06/20/22    216,229 
                     10,631,796 
     SOVEREIGN — 15.0%                 
 202,000 USD   Angolan Government International Bond(b)      9.1250   11/26/49    208,207 
 1,447,000 USD   Argentine Republic Government International Bond(f)      0.5000   07/09/30    529,602 
 298,000 USD   Argentine Republic Government International Bond(f)      1.1250   07/09/35    97,297 
 237,000 USD   Argentine Republic Government International Bond(f)      1.1250   07/09/46    79,893 
 315,000 USD   Bahamas Government International Bond(b)      8.9500   10/15/32    347,193 
 26,000 USD   Bahrain Government International Bond(b)      7.0000   10/12/28    28,931 
 48,000 USD   Bahrain Government International Bond(b)      6.7500   09/20/29    52,189 
 22,000 USD   Bahrain Government International Bond(b)      5.6250   09/30/31    22,049 
 100,000 EUR   Banque Centrale de Tunisie International Bond      5.6250   02/17/24    101,776 
 47,000 USD   Banque Centrale de Tunisie International Bond(b)      5.7500   01/30/25    39,922 
 100,000 EUR   Banque Centrale de Tunisie International Bond(b)      6.3750   07/15/26    100,826 
 55,000 USD   Brazilian Government International Bond      4.6250   01/13/28    59,730 
 137,000 USD   Brazilian Government International Bond      4.5000   05/30/29    146,629 
 35,000 USD   Brazilian Government International Bond      3.8750   06/12/30    35,347 
 146,000 USD   Chile Government International Bond      3.8600   06/21/47    162,402 
 100,000 EUR   Colombia Government International Bond      3.8750   03/22/26    131,862 
 105,000 USD   Colombia Government International Bond      3.0000   01/30/30    103,269 
 261,000 USD   Colombia Government International Bond      3.1250   04/15/31    256,219 
 74,000 USD   Colombia Government International Bond(c)      3.2500   04/22/32    72,700 
 60,000 USD   Colombia Government International Bond      6.1250   01/18/41    70,839 
 29,000 USD   Colombia Government International Bond      4.1250   02/22/42    27,976 
 14,000 USD   Colombia Government International Bond      5.6250   02/26/44    15,678 
 124,000 USD   Colombia Government International Bond      5.0000   06/15/45    130,056 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      

Spread

  Coupon Rate
(%)
  Maturity   Fair Value 
     FOREIGN GOVERNMENT & AGENCIES — 30.7% (Continued)       
     SOVEREIGN — 15.0% (Continued)                 
 10,000 USD   Colombia Government International Bond      3.8750   02/15/61   $8,836 
 130,000 USD   Costa Rica Government International Bond      6.1250   02/19/31    138,939 
 137,000 USD   Costa Rica Government International Bond      7.1580   03/12/45    145,872 
 200,000 USD   Development Bank of the Republic of Belarus JSC      6.7500   05/02/24    187,001 
 129,000 USD   Dominican Republic International Bond(b)      4.5000   01/30/30    132,484 
 82,000 USD   Dominican Republic International Bond(b)      7.4500   04/30/44    100,348 
 26,000 USD   Dominican Republic International Bond      6.4000   06/05/49    28,301 
 101,000 USD   Dominican Republic International Bond(b)      5.8750   01/30/60    102,163 
 52,074 USD   Ecuador Government International Bond(b),(e)      0.0000   07/31/30    29,032 
 90,800 USD   Ecuador Government International Bond(b)      0.5000   07/31/30    79,678 
 171,060 USD   Ecuador Government International Bond(b)      0.5000   07/31/35    119,316 
 20,000 USD   Ecuador Government International Bond(f)      0.5000   07/31/35    13,950 
 42,000 USD   Ecuador Government International Bond(b)      0.5000   07/31/40    26,040 
 94,000 USD   Egypt Government International Bond(b)      5.2500   10/06/25    98,824 
 29,000 USD   Egypt Government International Bond(b)      7.0530   01/15/32    29,608 
 134,000 USD   Egypt Government International Bond(b)      7.6250   05/29/32    141,838 
 98,000 USD   Egypt Government International Bond(b)      7.9030   02/21/48    95,893 
 26,000 USD   Egypt Government International Bond(b)      8.7000   03/01/49    27,246 
 37,000 USD   Egypt Government International Bond(b)      8.8750   05/29/50    39,507 
 200,000 USD   Egypt Government International Bond(b)      8.1500   11/20/59    197,961 
 32,000 USD   El Salvador Government International Bond(b)      6.3750   01/18/27    28,040 
 29,000 USD   El Salvador Government International Bond      8.2500   04/10/32    26,529 
 37,000 USD   El Salvador Government International Bond(b)      8.2500   04/10/32    33,848 
 104,000 USD   El Salvador Government International Bond      7.6500   06/15/35    91,390 
 19,000 USD   El Salvador Government International Bond(b)      7.6500   06/15/35    16,696 
 75,000 USD   El Salvador Government International Bond(b)      7.6250   02/01/41    63,203 
 24,000 USD   El Salvador Government International Bond      7.1250   01/20/50    19,500 
 33,000 USD   El Salvador Government International Bond      9.5000   07/15/52    31,251 
 62,000 USD   Finance Department Government of Sharjah(b)      4.0000   07/28/50    56,497 
 68,000 USD   Gabon Government International Bond(b)      6.9500   06/16/25    73,920 
 78,000 USD   Gabon Government International Bond(b)      6.6250   02/06/31    78,413 
 16,000 USD   Ghana Government International Bond(b)      8.1250   01/18/26    17,011 
 17,000 USD   Ghana Government International Bond(b)      6.3750   02/11/27    16,751 
 139,000 USD   Ghana Government International Bond(b)      7.8750   03/26/27    144,863 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity   Fair Value 
    FOREIGN GOVERNMENT & AGENCIES — 30.7% (Continued)           
     SOVEREIGN — 15.0% (Continued)                
 103,000 USD   Ghana Government International Bond(b)     7.7500   04/07/29   $104,005 
 118,000 USD   Ghana Government International Bond(b)     7.6250   05/16/29    118,084 
 60,000 USD   Ghana Government International Bond(b)     7.8750   02/11/35    57,746 
 21,000 USD   Ghana Government International Bond(b)     8.8750   05/07/42    20,875 
 175,000 USD   Ghana Government International Bond(b)     8.9500   03/26/51    171,496 
 100,000 EUR   Indonesia Government International Bond(b)     2.1500   07/18/24    125,402 
 35,000 USD   Indonesia Government International Bond     5.1250   01/15/45    43,689 
 40,000,000 IDR   Indonesia Treasury Bond     8.3750   03/15/24    3,039 
 123,000 EUR   Ivory Coast Government International Bond(b)     5.8750   10/17/31    157,874 
 189,000 USD   Kenya Government International Bond(b)     8.0000   05/22/32    214,063 
 175,000 USD   Lebanon Government International Bond(d)     6.6500   02/26/30    21,963 
 100,000 EUR   Mexico Government International Bond     1.6250   04/08/26    124,764 
 12,000 USD   Mexico Government International Bond     4.7500   04/27/32    13,800 
 200,000 USD   Mozambique International Bond(b),(f)     5.0000   09/15/31    170,920 
 330,000 USD   Nigeria Government International Bond(b)     7.8750   02/16/32    354,258 
 200,000 USD   Nigeria Government International Bond     7.6250   11/28/47    201,523 
 199,000 USD   Oman Government International Bond(b)     7.3750   10/28/32    228,245 
 40,000 USD   Oman Government International Bond(b)     6.7500   01/17/48    40,557 
 133,000 USD   Pakistan Government International Bond(b)     6.0000   04/08/26    134,142 
 9,000 USD   Panama Government International Bond     3.1600   01/23/30    9,472 
 70,000 USD   Panama Government International Bond     2.2520   09/29/32    67,865 
 129,000 USD   Panama Government International Bond     4.5000   04/16/50    147,305 
 50,000 USD   Panama Government International Bond     3.8700   07/23/60    51,824 
 77,000 USD   Papua New Guinea Government International Bond(b)     8.3750   10/04/28    78,194 
 25,231 USD   Republic of Angola Via Avenir II BV  US0006M + 7.500%  7.6610   07/01/23    24,763 
 171,429 USD   Republic of Angola Via Avenir Issuer II Ireland     6.9270   02/19/27    162,000 
 156,000 USD   Republic of Armenia International Bond(b)     3.6000   02/02/31    148,686 
 47,000 USD   Republic of Belarus International Bond(b)     7.6250   06/29/27    46,270 
 71,000 USD   Republic of Belarus Ministry of Finance(b)     6.3780   02/24/31    62,947 
 6,220,000 ZAR   Republic of South Africa Government Bond     8.5000   01/31/37    363,849 
 141,000 USD   Republic of Uzbekistan Bond(b)     3.9000   10/19/31    140,903 
 11,000 EUR   Romanian Government International Bond     2.8750   03/11/29    14,426 
 27,000 EUR   Romanian Government International Bond(b)     3.3750   02/08/38    34,914 
 19,000 EUR   Romanian Government International Bond(b)     2.7500   04/14/41    22,185 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      

Spread 

  Coupon Rate
(%)
  Maturity   Fair Value 
     FOREIGN GOVERNMENT & AGENCIES — 30.7% (Continued)       
     SOVEREIGN — 15.0% (Continued)                 
 42,000 USD   Romanian Government International Bond(b)      6.1250   01/22/44   $57,658 
 56,000 EUR   Romanian Government International Bond(b)      4.6250   04/03/49    82,945 
 400,000 USD   Russian Foreign Bond - Eurobond      4.2500   06/23/27    448,692 
 121,000 USD   Saudi Government International Bond(b),(c)      2.2500   02/02/33    118,943 
 111,000 EUR   Senegal Government International Bond(b)      4.7500   03/13/28    137,973 
 117,000 EUR   Senegal Government International Bond(b)      5.3750   06/08/37    138,781 
 47,000 USD   Turkey Government International Bond      5.7500   03/22/24    48,936 
 27,000 USD   Turkey Government International Bond      6.3500   08/10/24    28,459 
 57,000 USD   Turkey Government International Bond      5.1250   02/17/28    55,925 
 30,000 USD   Turkey Government International Bond      5.9500   01/15/31    29,702 
 316,000 USD   Turkey Government International Bond      5.8750   06/26/31    310,166 
 35,000 USD   Turkey Government International Bond      5.7500   05/11/47    30,334 
 37,000 USD   Ukraine Government International Bond(b)      7.7500   09/01/26    40,584 
 67,000 USD   Ukraine Government International Bond(b)      6.8760   05/21/29    69,301 
 185,000 USD   Ukraine Government International Bond(b)      7.3750   09/25/32    192,970 
 108,000 USD   Ukraine Government International Bond(b)      7.2530   03/15/33    111,644 
 14,000 USD   Zambia Government International Bond(b)      5.3750   09/20/22    9,018 
 124,000 USD   Zambia Government International Bond(b)      8.9700   07/30/27    80,873 
                     10,936,293 
     SUPRANATIONAL — 0.6%                 
 980,000 BRL   European Investment Bank      7.2500   11/08/22    191,236 
 200,000 EUR   European Investment Bank      1.1250   09/15/36    271,568 
                     462,804 
                       
     FOREIGN GOVERNMENT & AGENCIES (Cost $21,844,252)               22,420,722 
                       
Shares                     
     COLLATERAL FOR SECURITIES LOANED - 2.7%                 
 1,964,447   Mount Vernon Prime Portfolio, 0.10% (Cost $1,964,447)(g),(h)               1,964,447 
                       
     TOTAL INVESTMENTS - 99.3% (Cost $70,339,206)              $72,458,976 
     OTHER ASSETS IN EXCESS OF LIABILITIES- 0.7%               470,244 
     NET ASSETS - 100.0%              $72,929,220 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

OPEN FUTURES CONTRACTS    
Number of
Contracts
   Open Long Futures Contracts  Expiration  Notional Amount   Unrealized
Appreciation
 
 1   CBOT 10 Year US Treasury Note  09/21/2021  $134,453   $2,680 
 7   Eurex 30 Year Euro BUXL Future  09/08/2021   1,784,962    128,324 
 26   Long Gilt Future  09/28/2021   4,691,794    103,051 
 8   TSE Japanese 10 Year Bond Futures  09/13/2021   11,101,595    72,675 
     TOTAL FUTURES CONTRACTS          $306,730 

 

OPEN FUTURES CONTRACTS    
Number of
Contracts
   Open Short Futures Contracts  Expiration  Notional Amount   Unrealized
Depreciation
 
 63   CBOT 5 Year US Treasury Note  09/30/2021  $7,840,035   $(49,199)
 8   Eurex 10 Year Euro BUND Future  09/08/2021   1,675,015    (48,692)
     TOTAL FUTURES CONTRACTS          $(97,891)

 

                 Unrealized 
Foreign Currency  Settlement Date  Counterparty  Local Currency   U.S. Dollar Value   Appreciation/
(Depreciation)
 
To Buy:                     
Euro  08/02/2021  Capstone Global Markets   150,000   $177,870   $338 
Euro  08/02/2021  JP Morgan Chase   32,619    38,679    (92)
Euro  08/06/2021  JP Morgan Chase   276,089    327,406    (240)
Australian Dollar  08/09/2021  Capstone Global Markets   490,000    360,187    (4,830)
Australian Dollar  08/16/2021  Capstone Global Markets   470,000    345,498    (4,932)
Japanese Yen  08/16/2021  Capstone Global Markets   90,190,001    821,857    2,955 
Euro  09/10/2021  Capstone Global Markets   150,000    178,007    (405)
Euro  09/10/2021  JP Morgan Chase   1,060,000    1,257,918    7,969 
Japanese Yen  09/10/2021  Capstone Global Markets   8,208,800    74,818    286 
Euro  09/30/2021  JP Morgan Chase   99,604    118,252    (26)
              $3,700,492   $1,023 
To Sell:                     
Euro  08/02/2021  Capstone Global Markets   150,000   $177,870   $408 
Euro  08/03/2021  JP Morgan Chase   145,559    172,603    43 
Euro  08/06/2021  JP Morgan Chase   6,405,136    7,595,671    5,060 
Australian Dollar  09/30/2021  Capstone Global Markets   839,500    617,262    20,725 
British Pound  09/30/2021  Capstone Global Markets   1,475,500    2,051,773    11,180 
Canadian Dollar  09/30/2021  JP Morgan Chase   1,056,200    846,034    15,453 
Euro  09/30/2021  Capstone Global Markets   14,254,000    16,922,599    157,805 
Euro  09/30/2021  JP Morgan Chase   248,349    294,845    (180)
Euro  09/30/2021  MSSB   90,000    106,850    (133)
Japanese Yen  09/30/2021  Barclay   71,388,099    650,768    (5,700)
              $29,436,275   $204,661 
                      
Total                  $205,684 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

July 31, 2021

 

Foreign Currency  Settlement
Date
  Counterparty  Local Currency
Amount
Purchased Buy
   Local Currency
Amount Purchased
Sell
   U.S. Dollar Market
Value Buy
   U.S. Dollar Market
Value Sell
   Unrealized
Appreciation/
(Depreciation)
 
To Buy:  To Sell:                               
British Pound  Euro  9/30/2021  JP Morgan Chase   4,750    5,508    6,606    (6,539)  $67 
Euro  British Pound  9/30/2021  JP Morgan Chase   984,170    842,800    1,168,424    (1,171,965)   (3,541)
             988,920    848,308   $1,175,030   $1,178,504   $(3,474)
                                   
Total                               $(3,474)

 

A/S  - Anonim Sirketi
   
LLC  - Limited Liability Company
   
LTD  - Limited Company
   
NV  - Naamioze Vennootschap
   
OYJ  - Julkinen osakeyhtiö
   
PLC  - Public Limited Company
   
REIT  - Real Estate Investment Trust
   
S/A  - Société Anonyme
   
SA de CV  - Sociedad Anonima de Capital Variable
   
EUR003M Euribor 3 Month ACT/360
   
EUSA5 EUR SWAP ANN (VS 6M) 5Y
   
EUSA6 EUR SWAP ANN (VS 6M) 6Y
   
H15T10Y US Treasury Yield Curve Rate T Note Constant Maturity 10 Year
   
H15T1Y US Treasury Yield Curve Rate T Note Constant Maturity 1 Year
   
H15T5Y US Treasury Yield Curve Rate T Note Constant Maturity 5 Year
   
SOFRRATE United States SOFR Secured Overnight Financing Rate
   
US0003M ICE LIBOR USD 3 Month
   
US0006M ICE LIBOR USD 6 Month
   
AUD Australian Dollar
   
BRL Brazilian Real
   
CAD Canadian Dollar
   
COP Columbian Peso
   
EGP Egyptian Pound
   
EUR Euro
   
GBP British Pound
   
IDR Indonesia Rupiah
   
JPY Japanese Yen
   
MXN Mexican Peso
   
RUB Russian Ruble
   
USD US Dollar
   
UYU Uruguayan Peso
   
ZAR South African Rand

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

(a) Variable rate security; the rate shown represents the rate on July 31, 2021.
   
(b) Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of July 31,2021 the total market value of 144A securities is 27,793,894 or 38.1% of net assets.
   
(c) Security was purchased with cash received as collateral for securities on loan at July 31, 2021. Total collateral had a value of $1,930,958 at July 31, 2021.
   
(d) Represents issuer in default on interest payments; non-income producing security.
   
(e) Zero coupon bond.
   
(f) Step bond. Coupon rate is fixed rate that changes on a specified date. The rate shown is the current rate at July 31, 2021.
   
(g) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(h)

The Trust’s securities lending policies and procedures require that the borrower: deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 105% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 105% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 105%.

 

 

DUNHAM LARGE CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 93.4%     
     AEROSPACE & DEFENSE - 2.2%     
 9,213   L3Harris Technologies, Inc.  $2,088,955 
 3,416   Lockheed Martin Corporation   1,269,625 
         3,358,580 
     ASSET MANAGEMENT - 2.9%     
 2,595   BlackRock, Inc.   2,250,307 
 30,513   Charles Schwab Corporation (The)   2,073,358 
         4,323,665 
     AUTOMOTIVE - 1.4%     
 36,653   General Motors Company (a)   2,083,357 
           
     BANKING – 9.0%     
 112,159   Bank of America Corporation   4,302,419 
 30,283   JPMorgan Chase & Company   4,596,353 
 38,325   Truist Financial Corporation   2,086,030 
 52,610   Wells Fargo & Company   2,416,903 
         13,401,705 
     BIOTECH & PHARMA - 5.9%     
 14,692   AbbVie, Inc.   1,708,680 
 36,097   Bristol-Myers Squibb Company   2,449,903 
 18,568   Johnson & Johnson   3,197,410 
 20,067   Merck & Company, Inc.   1,542,550 
         8,898,543 
     CABLE & SATELLITE - 1.1%     
 52,731   Altice USA, Inc., Class A(a),(b)   1,620,424 
           
     CHEMICALS - 2.3%     
 6,112   Air Products and Chemicals, Inc.   1,778,775 
 61,956   Huntsman Corporation   1,636,258 
         3,415,033 
     CONSTRUCTION MATERIALS - 1.6%     
 2,732   Martin Marietta Materials, Inc.(b)   992,536 
 15,097   Owens Corning   1,451,727 
         2,444,263 

 

 

DUNHAM LARGE CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 93.4% (Continued)     
     CONSUMER SERVICES - 1.2%     
 29,111   Service Corp International  $1,819,146 
           
     CONTAINERS & PACKAGING - 0.7%     
 21,142   Westrock Company   1,040,398 
           
     DIVERSIFIED INDUSTRIALS - 3.5%     
 26,002   Emerson Electric Company   2,623,342 
 11,022   Honeywell International, Inc.   2,576,833 
         5,200,175 
     ELECTRIC UTILITIES - 3.8%     
 46,964   NextEra Energy, Inc.   3,658,496 
 29,992   Xcel Energy, Inc.   2,046,954 
         5,705,450 
     ELECTRICAL EQUIPMENT - 2.1%     
 25,993   Johnson Controls International plc   1,856,420 
 6,282   Trane Technologies plc   1,279,078 
         3,135,498 
     ENGINEERING & CONSTRUCTION - 1.3%     
 21,953   Quanta Services, Inc.   1,995,528 
           
     ENTERTAINMENT CONTENT - 2.1%     
 18,091   Walt Disney Company (The)   3,184,378 
           
     FOOD - 2.2%     
 26,612   Mondelez International, Inc., Class A   1,683,475 
 21,893   Tyson Foods, Inc., Class A   1,564,474 
         3,247,949 
     HEALTH CARE FACILITIES & SERVICES - 4.9%     
 15,189   AmerisourceBergen Corporation   1,855,640 
 21,676   CVS Health Corporation(b)   1,785,235 
 9,064   UnitedHealth Group, Inc.   3,736,363 
         7,377,238 
     HOUSEHOLD PRODUCTS - 1.1%     
 11,716   Procter & Gamble Company (The)   1,666,367 

 

 

DUNHAM LARGE CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 93.4% (Continued)     
     INSTITUTIONAL FINANCIAL SERVICES - 2.8%     
 46,700   Bank of New York Mellon Corporation (The)  $2,397,111 
 15,006   Intercontinental Exchange, Inc.   1,798,169 
         4,195,280 
     INSURANCE - 6.1%     
 17,856   Allstate Corporation (The)   2,322,173 
 5,856   Berkshire Hathaway, Inc., Class B(a)   1,629,666 
 25,667   Hartford Financial Services Group, Inc. (The)   1,632,935 
 20,371   Prudential Financial, Inc.   2,042,804 
 10,482   Travelers Companies, Inc. (The)   1,560,979 
         9,188,557 
     INTERNET MEDIA & SERVICES - 2.9%     
 1,619   Alphabet, Inc., Class A(a)   4,362,443 
           
     LEISURE FACILITIES & SERVICES - 1.0%     
 10,122   Darden Restaurants, Inc.   1,476,597 
           
     MACHINERY - 2.5%     
 8,084   Caterpillar, Inc.   1,671,367 
 6,755   Parker-Hannifin Corporation   2,107,763 
         3,779,130 
     MEDICAL EQUIPMENT & DEVICES - 6.2%     
 21,849   Abbott Laboratories   2,643,292 
 9,863   Hill-Rom Holdings, Inc.(b)   1,365,631 
 6,078   Stryker Corporation   1,646,773 
 6,780   Thermo Fisher Scientific, Inc.   3,661,268 
         9,316,964 
     OIL & GAS PRODUCERS - 3.9%     
 50,044   ConocoPhillips   2,805,468 
 22,412   EOG Resources, Inc.   1,632,938 
 18,159   Phillips 66   1,333,415 
         5,771,821 

 

 

DUNHAM LARGE CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 93.4% (Continued)     
     OIL & GAS SERVICES & EQUIPMENT - 1.5%     
 76,203   Schlumberger N.V.  $2,196,933 
           
     RETAIL - CONSUMER STAPLES - 2.0%     
 11,404   Target Corporation(b)   2,977,014 
           
     RETAIL - DISCRETIONARY - 2.5%     
 1,316   AutoZone, Inc.(a)   2,136,618 
 8,404   Lowe’s Companies, Inc.   1,619,367 
         3,755,985 
     SEMICONDUCTORS - 4.0%     
 3,135   Broadcom, Inc.   1,521,729 
 17,348   Intel Corporation   931,935 
 21,778   Micron Technology, Inc.(a)   1,689,537 
 46,732   ON Semiconductor Corporation(a)   1,825,351 
         5,968,552 
     SOFTWARE - 1.0%     
 5,169   Microsoft Corporation   1,472,700 
           
     SPECIALTY FINANCE - 0.9%     
 7,500   American Express Company(b)   1,278,975 
           
     TECHNOLOGY HARDWARE - 1.3%     
 34,626   Cisco Systems, Inc.   1,917,242 
           
     TECHNOLOGY SERVICES - 1.5%     
 11,669   Global Payments, Inc.   2,256,901 
           
     TELECOMMUNICATIONS - 1.9%     
 51,083   Verizon Communications, Inc.   2,849,410 
           
     TRANSPORTATION & LOGISTICS - 2.1%     
 30,000   Knight-Swift Transportation Holdings, Inc.   1,490,700 
 33,762   Southwest Airlines Company (a)   1,705,656 
         3,196,356 

 

 

DUNHAM LARGE CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 93.4% (Continued)     
     TOTAL COMMON STOCKS (Cost $97,320,545)  $139,878,557 
           
     REITS — 4.4%     
     REITS - 4.4%     
 5,405   American Tower Corporation   1,528,534 
 11,044   Boston Properties, Inc.(b)   1,296,345 
 25,645   Equity LifeStyle Properties, Inc.   2,149,051 
 13,003   Prologis, Inc.   1,664,904 
     TOTAL REITS (Cost $4,620,315)   6,638,834 
           
     COLLATERAL FOR SECURITIES LOANED — 6.3%     
 9,338,193   Mount Vernon Prime Portfolio, 0.10% (Cost $9,338,193)(c),(d)   9,338,193 
           
     TOTAL INVESTMENTS - 104.1% (Cost $111,279,053)  $155,855,584 
     OTHER ASSETS IN EXCESS OF LIABILITIES- (4.1)%   (6,113,030)
     NET ASSETS - 100.0%  $149,742,554 

 

NV  - Naamioze Vennootschap
   
PLC  - Public Limited Company
   
REIT  - Real Estate Investment Trust

 

(a) Non-income producing security.
   
(b) All or a portion of these securities are on loan. Total loaned securities had a value of $9,099,989 at July 31, 2021.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(d) The Trust’s securities lending policies and procedures require that the borrower: deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 85.8%     
     AEROSPACE & DEFENSE - 0.8%     
 5,727   Barnes Group, Inc.  $290,187 
 7,620   Kaman Corporation   337,947 
         628,134 
     ASSET MANAGEMENT - 1.0%     
 12,000   B Riley Financial, Inc.   810,720 
           
     AUTOMOTIVE - 1.3%     
 66,839   Goodyear Tire & Rubber Company (The) (a)   1,050,041 
           
     BANKING - 15.4%     
 49,045   Associated Banc-Corporation   971,091 
 34,962   Bancorp, Inc. (The)(a)   817,062 
 15,803   Banner Corporation   838,191 
 10,600   BOK Financial Corporation(b)   890,506 
 27,017   Central Pacific Financial Corporation   691,635 
 20,451   First Bancshares, Inc. (The)(b)   788,795 
 14,756   First Financial Corporation   590,978 
 12,384   First Interstate BancSystem, Inc., Class A   519,137 
 18,031   Heartland Financial USA, Inc.   822,574 
 32,215   Independent Bank Corporation   677,481 
 24,544   TriCompany Bancshares   967,770 
 31,780   Trustmark Corporation(b)   954,036 
 12,135   UMB Financial Corporation   1,135,836 
 48,544   Umpqua Holdings Corporation   916,025 
 32,056   United Community Banks, Inc.   923,533 
         12,504,650 
     BIOTECH & PHARMA - 4.8%     
 17,500   Amphastar Pharmaceuticals, Inc.(a)   366,625 
 9,738   Anika Therapeutics, Inc.(a)   390,786 
 4,300   Blueprint Medicines Corporation(a),(b)   377,841 
 28,542   Coherus Biosciences, Inc.(a),(b)   372,473 
 8,500   Eagle Pharmaceuticals, Inc.(a)   395,250 
 12,500   FibroGen, Inc.(a)   162,500 
 36,756   Jounce Therapeutics, Inc.(a)   185,250 

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 85.8% (Continued)     
     BIOTECH & PHARMA - 4.8% (Continued)     
 6,700   Sage Therapeutics, Inc.(a),(b)  $292,991 
 14,062   Supernus Pharmaceuticals, Inc.(a),(b)   370,252 
 17,000   Translate Bio, Inc.(a)   469,880 
 30,851   Vanda Pharmaceuticals, Inc.(a),(b)   503,181 
         3,887,029 
     CHEMICALS - 2.1%     
 12,612   Cabot Corporation   694,417 
 12,137   Minerals Technologies, Inc.   973,630 
         1,668,047 
     COMMERCIAL SUPPORT SERVICES - 2.1%     
 18,700   Deluxe Corporation(b)   820,930 
 8,823   Insperity, Inc.   873,918 
         1,694,848 
     CONSUMER SERVICES - 1.2%     
 1,443   Graham Holdings Company, Class B   959,104 
           
     CONTAINERS & PACKAGING - 1.0%     
 12,854   Greif, Inc., Class A(b)   779,209 
           
     ELECTRIC UTILITIES - 2.7%     
 23,672   Hawaiian Electric Industries, Inc.(b)   1,025,945 
 10,419   NorthWestern Corporation   645,874 
 10,837   Unitil Corporation   573,494 
         2,245,313 
     ENGINEERING & CONSTRUCTION - 1.2%     
 33,219   Primoris Services Corporation(b)   993,248 
           
     FOOD - 1.4%     
 19,905   Phibro Animal Health Corporation, Class A   471,151 
 12,130   Seneca Foods Corporation, Class A(a)   663,997 
         1,135,148 
     GAS & WATER UTILITIES - 1.2%     
 5,641   SJW Group   388,834 

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 85.8% (Continued)     
     GAS & WATER UTILITIES - 1.2% (Continued)     
 8,125   Southwest Gas Holdings, Inc.(b)  $568,181 
         957,015 
     HEALTH CARE FACILITIES & SERVICES - 2.5%     
 13,547   National HealthCare Corporation   1,051,924 
 21,219   Owens & Minor, Inc.(b)   981,379 
         2,033,303 
     HOME CONSTRUCTION - 2.8%     
 7,662   American Woodmark Corporation(a)   568,904 
 13,413   M/I Homes, Inc.(a)   867,955 
 8,057   Meritage Homes Corporation(a)   874,829 
         2,311,688 
     HOUSEHOLD PRODUCTS - 1.3%     
 11,241   Clearwater Paper Corporation(a),(b)   331,497 
 13,293   Nu Skin Enterprises, Inc., Class A(b)   713,701 
         1,045,198 
     INDUSTRIAL INTERMEDIATE PROD – 2.9%     
 14,281   AZZ, Inc.   756,750 
 19,332   Mueller Industries, Inc.   839,009 
 3,404   Valmont Industries, Inc.   806,578 
         2,402,337 
     INSTITUTIONAL FINANCIAL SERVICES - 1.1%     
 7,542   Piper Sandler Cos   925,328 
           
     INSURANCE - 2.4%     
 17,596   American Equity Investment Life Holding Company   564,656 
 17,118   Mercury General Corporation(b)   1,041,288 
 1,653   National Western Life Group, Inc., Class A   343,642 
         1,949,586 
     LEISURE FACILITIES & SERVICES - 1.7%     
 36,799   Fiesta Restaurant Group, Inc.(a),(b)   492,739 
 17,306   Travel + Leisure Company   896,450 
         1,389,189 
     MACHINERY - 3.8%     
 7,884   Altra Industrial Motion Corporation   494,169 

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 85.8% (Continued)     
     MACHINERY - 3.8% (Continued)     
 12,146   Columbus McKinnon Corporation(b)  $563,574 
 4,936   Curtiss-Wright Corporation   583,929 
 14,680   Hillenbrand, Inc.   665,004 
 5,025   Regal Beloit Corporation(b)   739,831 
         3,046,507 
     MEDICAL EQUIPMENT & DEVICES - 1.0%     
 4,087   ICU Medical, Inc.(a)   830,846 
           
     METALS & MINING - 0.8%     
 16,498   Alcoa Corporation(a)   662,395 
           
     OIL & GAS PRODUCERS - 4.0%     
 74,567   Antero Midstream Corporation(b)   708,387 
 21,495   Bonanza Creek Energy, Inc.(b)   826,913 
 28,300   HollyFrontier Corporation   832,020 
 29,750   Matador Resources Company(b)   919,274 
         3,286,594 
     OIL & GAS SERVICES & EQUIPMENT - 1.7%     
 82,347   Archrock, Inc.   709,008 
 63,001   Liberty Oilfield Services, Inc., Class A (a)   641,980 
         1,350,988 
     RETAIL - CONSUMER STAPLES - 1.9%     
 12,602   Big Lots, Inc.(b)   726,001 
 13,076   Ingles Markets, Inc., Class A(b)   781,422 
         1,507,423 
     RETAIL - DISCRETIONARY - 4.8%     
 31,634   Abercrombie & Fitch Company, Class A(a)   1,196,082 
 20,290   Foot Locker, Inc.   1,157,747 
 23,603   Lumber Liquidators Holdings, Inc.(a),(b)   450,345 
 18,931   Sonic Automotive, Inc., Class A(b)   1,032,686 
         3,836,860 
     SEMICONDUCTORS - 2.8%     
 48,261   Amkor Technology, Inc.   1,189,152 

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 85.8% (Continued)     
     SEMICONDUCTORS - 2.8% (Continued)     
 46,747   Rambus, Inc.(a),(b)  $1,106,034 
         2,295,186 
     SOFTWARE - 2.2%     
 29,300   Donnelley Financial Solutions, Inc.(a)   943,753 
 52,000   NextGen Healthcare, Inc.(a)   843,440 
         1,787,193 
     SPECIALTY FINANCE - 2.5%     
 32,794   Mr Cooper Group, Inc.(a),(b)   1,219,281 
 14,099   Stewart Information Services Corporation   831,982 
         2,051,263 
     STEEL - 1.0%     
 25,561   Commercial Metals Company   838,401 
           
     TECHNOLOGY HARDWARE - 1.5%     
 34,702   Knowles Corporation(a)   695,428 
 11,426   NCR Corporation(a)   507,314 
         1,202,742 
     TECHNOLOGY SERVICES - 1.0%     
 8,322   Insight Enterprises, Inc.(a),(b)   835,362 
           
     TELECOMMUNICATIONS - 1.1%     
 39,700   EchoStar Corporation, Class A(a),(b)   885,310 
           
     TRANSPORTATION & LOGISTICS - 2.8%     
 37,352   Heartland Express, Inc.   636,105 
 9,572   Matson, Inc.   642,473 
 12,600   Ryder System, Inc.   959,489 
         2,238,067 
     WHOLESALE - DISCRETIONARY - 2.1%     
 7,532   ePlus, Inc.(a)   696,409 

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 85.8% (Continued)     
     WHOLESALE - DISCRETIONARY - 2.1% (Continued)     
 34,644   G-III Apparel Group Ltd.(a),(b)  $1,034,470 
         1,730,879 
           
     TOTAL COMMON STOCKS (Cost $54,411,076)   69,755,151 
           
     REITS — 13.9%     
     REITS - 11.9%     
 52,544   Apple Hospitality REIT, Inc.(b)   785,533 
 53,871   Armada Hoffler Properties, Inc.   700,323 
 62,922   Brandywine Realty Trust(b)   878,391 
 57,063   Chatham Lodging Trust(a)   700,734 
 34,990   Global Net Lease, Inc.   646,265 
 20,300   Highwoods Properties, Inc.   968,107 
 16,630   Physicians Realty Trust(b)   315,139 
 17,700   PotlatchDeltic Corporation(b)   919,338 
 6,200   PS Business Parks, Inc.   952,754 
 51,741   Sabra Health Care REIT, Inc.   961,865 
 58,000   SITE Centers Corporation(b)   919,880 
 41,870   UMH Properties, Inc.   974,734 
         9,723,063 
     SPECIALTY FINANCE - 2.0%     
 133,168   Capstead Mortgage Corporation   848,280 
 43,236   Dynex Capital, Inc.   754,468 
         1,602,748 
           
     TOTAL REITS (Cost $9,822,926)   11,325,811 
           
     COLLATERAL FOR SECURITIES LOANED — 27.2%     
 22,087,159   Mount Vernon Prime Portfolio, 0.10% (Cost $22,087,159)(c),(d)   22,087,159 
           
     TOTAL INVESTMENTS – 126.9% (Cost $86,321,161)  $103,168,121 
     OTHER ASSETS IN EXCESS OF LIABILITIES- (26.9)%   (21,892,773)
     NET ASSETS - 100.0%  $81,275,348 

 

LTD  - Limited Company
   
REIT  - Real Estate Investment Trust

 

(a) Non-income producing security.
   
(b) All or a portion of these securities are on loan. Total loaned securities had a value of $21,451,026 at July 31, 2021.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(d) The Trust’s securities lending policies and procedures require that the borrower: deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM FOCUSED LARGE CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 99.2%     
     E-COMMERCE DISCRETIONARY - 9.4%     
 4,335   Amazon.com, Inc.(a)  $14,425,102 
 3,129   MercadoLibre, Inc.(a)   4,908,462 
         19,333,564 
     INTERNET MEDIA & SERVICES - 6.0%     
 20,844   Facebook, Inc., Class A(a)   7,426,717 
 9,829   Netflix, Inc.(a)   5,087,196 
         12,513,913 
     LEISURE FACILITIES & SERVICES - 2.7%     
 3,031   Chipotle Mexican Grill, Inc.(a),(b)   5,648,087 
           
     MEDICAL EQUIPMENT & DEVICES - 13.9%     
 9,072   Align Technology, Inc.(a)   6,312,298 
 12,159   DexCom, Inc.(a),(b)   6,268,086 
 47,628   Edwards Lifesciences Corporation(a)   5,347,196 
 15,000   Insulet Corporation(a)   4,195,350 
 6,756   Intuitive Surgical, Inc.(a)   6,698,303 
         28,821,233 
     RETAIL - DISCRETIONARY - 6.3%     
 14,619   Burlington Stores, Inc.(a),(b)   4,894,441 
 11,658   Lululemon Athletica, Inc.(a)   4,665,182 
 19,247   Tractor Supply Company   3,482,360 
         13,041,983 
     SEMICONDUCTORS - 7.4%     
 11,405   Advanced Micro Devices, Inc.(a)   1,211,097 
 58,080   NVIDIA Corporation   11,325,019 
 18,000   QUALCOMM, Inc.   2,696,400 
         15,232,516 
     SOFTWARE - 30.8%     
 11,700   Adobe, Inc.(a)   7,273,071 
 24,312   Autodesk, Inc.(a)   7,807,313 
 37,138   Microsoft Corporation   10,580,988 
 29,367   salesforce.com, Inc.(a)   7,104,758 
 19,866   ServiceNow, Inc.(a)   11,679,022 
 14,269   Twilio, Inc., Class A(a)   5,330,756 

 

 

DUNHAM FOCUSED LARGE CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 99.2% (Continued)     
     SOFTWARE - 30.8% (Continued)     
 18,000   Unity Software, Inc.(a),(b)  $1,928,160 
 28,088   Veeva Systems, Inc., Class A(a)   9,345,158 
 21,000   Zendesk, Inc.(a),(b)   2,741,130 
         63,790,356 
     TECHNOLOGY HARDWARE - 2.5%     
 34,775   Apple, Inc.   5,072,282 
           
     TECHNOLOGY SERVICES - 20.2%     
 28,797   Mastercard, Inc., Class A   11,113,914 
 42,188   PayPal Holdings, Inc.(a)   11,624,060 
 32,905   Square, Inc., Class A(a),(b)   8,136,090 
 44,208   Visa, Inc., Class A(b)   10,892,409 
         41,766,473 
           
     TOTAL COMMON STOCKS (Cost $83,954,666)   205,220,407 
           
     COLLATERAL FOR SECURITIES LOANED — 17.4%     
 35,907,570   Mount Vernon Liquid Assets Portfolio, 0.10% (Cost $35,907,570)(c),(d)   35,907,570 
           
     TOTAL INVESTMENTS - 116.6% (Cost $119,862,236)  $241,127,977 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (16.6)%   (34,284,232)
     NET ASSETS - 100.0%  $206,843,745 

 

ETF  - Exchange-Traded Fund

 

(a) Non-income producing security.
   
(b) All or a portion of these securities are on loan. Total loaned securities had a value of $34,598,715 at July 31, 2021.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(d)

The Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 98.6%     
     ADVERTISING & MARKETING - 2.0%     
 6,648   Cardlytics, Inc.(a)  $837,382 
 26,410   Magnite, Inc.(a)   800,223 
         1,637,605 
     AEROSPACE & DEFENSE - 0.6%     
 9,541   Hexcel Corporation   519,221 
         

 

 
     APPAREL & TEXTILE PRODUCTS - 1.4%     
 8,641   Crocs, Inc.(a)   1,173,534 
         

 

 
     BANKING - 2.2%     
 13,302   Glacier Bancorp, Inc.   685,851 
 19,497   Seacoast Banking Corporation of Florida   592,514 
 5,727   Silvergate Capital Corporation(a)   588,736 
         1,867,101 
     BIOTECH & PHARMA - 8.1%     
 15,432   Alector, Inc.(a)   370,908 
 20,679   Allogene Therapeutics, Inc.(a)   453,904 
 17,143   Anavex Life Sciences Corporation(a)   307,717 
 24,128   Avid Bioservices, Inc.(a)   618,883 
 8,652   Biohaven Pharmaceutical Holding Company Ltd.(a)   1,090,238 
 6,548   CRISPR Therapeutics A.G.(a)   792,439 
 5,049   Mirati Therapeutics, Inc.(a)   808,143 
 22,153   Myovant Sciences Ltd.(a)   454,580 
 12,404   Revance Therapeutics, Inc.(a)   360,708 
 24,343   Seer, Inc.(a),(b)   777,515 
 21,049   TG Therapeutics, Inc.(a)   736,505 
         6,771,540 
     CHEMICALS - 1.2%     
 47,336   Codexis, Inc.(a)   1,001,630 
         

 

 
     COMMERCIAL SUPPORT SERVICES - 0.9%     
 4,575   Avalara, Inc.(a)   764,803 

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 98.6% (Continued)     
     E-COMMERCE DISCRETIONARY - 1.0%     
 20,980   Poshmark, Inc.(a)  $823,255 
         

 

 
     ELECTRICAL EQUIPMENT - 2.0%     
 7,770   Itron, Inc.(a)   766,277 
 25,676   nLight, Inc.(a)   890,701 
         1,656,978 
     ENGINEERING & CONSTRUCTION - 4.4%     
 8,775   Exponent, Inc.   939,715 
 5,048   Installed Building Products, Inc.   605,760 
 14,764   Latham Group, Inc.(a)   402,762 
 15,574   Montrose Environmental Group, Inc.(a)   836,168 
 29,900   WillScot Mobile Mini Holdings Corporation(a)   858,429 
         3,642,834 
     FOOD - 0.5%     
 23,865   Vital Farms, Inc.(a)   415,490 
         

 

 
     HEALTH CARE FACILITIES & SERVICES - 5.2%     
 8,725   HealthEquity, Inc.(a)   645,476 
 4,301   LHC Group, Inc.(a)   925,489 
 35,442   LifeStance Health Group, Inc.(a)   839,975 
 22,328   Personalis, Inc.(a)   468,665 
 10,201   Progyny, Inc.(a)   568,094 
 24,553   RadNet, Inc.(a)   902,077 
         4,349,776 
     HOME CONSTRUCTION - 2.3%     
 18,200   AZEK Company, Inc. (The)(a)   661,934 
 2,162   LGI Homes, Inc.(a)   369,486 
 16,075   Skyline Champion Corporation(a)   906,630 
         1,938,050 
     HOUSEHOLD PRODUCTS - 2.6%     
 43,732   elf Beauty, Inc.(a)   1,207,441 
 12,444   Inter Parfums, Inc.   956,570 
         2,164,011 

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 98.6% (Continued)     
     INDUSTRIAL INTERMEDIATE PRODUCTS - 1.0%     
 5,301   Chart Industries, Inc.(a)  $824,040 
         

 

 
     INDUSTRIAL SUPPORT SERVICES - 0.6%     
 2,989   SiteOne Landscape Supply, Inc.(a)   522,417 
         

 

 
     INSTITUTIONAL FINANCIAL SERVICES - 3.1%     
 5,150   Evercore, Inc., Class A   680,830 
 12,113   Houlihan Lokey, Inc.   1,079,268 
 14,117   Moelis & Company, Class A   836,432 
         2,596,530 
     INTERNET MEDIA & SERVICES - 4.0%     
 46,652   Eventbrite, Inc., Class A(a)   829,005 
 6,291   Pinterest, Inc., Class A(a)   370,540 
 8,460   TechTarget, Inc.(a)   618,257 
 14,159   Upwork, Inc.(a)   733,295 
 2,750   Wix.com Ltd.(a)   821,260 
         3,372,357 
     LEISURE FACILITIES & SERVICES - 4.5%     
 48,743   Lindblad Expeditions Holdings, Inc.(a)   667,292 
 10,705   Papa John’s International, Inc.   1,221,654 
 8,001   Shake Shack, Inc., Class A(a)   804,421 
 6,349   Wingstop, Inc.   1,087,647 
         3,781,014 
     LEISURE PRODUCTS - 0.8%     
 3,878   Fox Factory Holding Corporation(a)   626,452 
         

 

 
     MACHINERY - 1.1%     
 5,748   MSA Safety, Inc.   945,431 
         

 

 
     MEDICAL EQUIPMENT & DEVICES - 7.5%     
 39,441   Acutus Medical, Inc.(a),(b)   607,391 
 15,054   Adaptive Biotechnologies Corporation(a)   551,880 
 49,899   Alphatec Holdings, Inc.(a)   735,511 
 9,993   BioLife Solutions, Inc.(a)   468,672 

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 98.6% (Continued)     
     MEDICAL EQUIPMENT & DEVICES - 7.5% (Continued)     
 134,157   Cerus Corporation(a)  $676,151 
 5,774   Inari Medical, Inc.(a)   518,447 
 5,176   Insulet Corporation(a)   1,447,676 
 3,199   Repligen Corporation(a)   785,994 
 4,125   Tandem Diabetes Care, Inc.(a)   448,264 
         6,239,986 
     RENEWABLE ENERGY - 1.0%     
 3,200   SolarEdge Technologies, Inc.(a)   830,336 
         

 

 
     RETAIL - CONSUMER STAPLES - 0.7%     
 6,624   Ollie’s Bargain Outlet Holdings, Inc.(a)   616,694 
         

 

 
     RETAIL - DISCRETIONARY - 1.9%     
 27,112   American Eagle Outfitters, Inc.   934,551 
 4,394   Freshpet, Inc.(a)   643,501 
         1,578,052 
     SEMICONDUCTORS - 10.0%     
 28,959   Allegro MicroSystems, Inc.(a)   793,766 
 25,046   Axcelis Technologies, Inc.(a)   965,523 
 9,144   Brooks Automation, Inc.   813,907 
 10,502   Cree, Inc.(a)   974,166 
 28,903   FormFactor, Inc.(a)   1,076,926 
 17,254   Lattice Semiconductor Corporation(a)   979,165 
 9,280   Power Integrations, Inc.   900,067 
 15,665   Semtech Corporation(a)   969,820 
 5,836   Silicon Laboratories, Inc.(a)   869,506 
         8,342,846 
     SOFTWARE - 13.8%     
 7,157   Bandwidth, Inc., Class A(a)   927,976 
 7,807   Blackline, Inc.(a)   893,043 
 3,606   Coupa Software, Inc.(a)   782,502 
 14,246   DoubleVerify Holdings, Inc.(a),(b)   492,912 
 4,798   Elastic N.V.(a)   710,392 
 7,138   Everbridge, Inc.(a)   1,008,027 

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 98.6% (Continued)     
     SOFTWARE - 13.8% (Continued)     
 23,969   Jamf Holding Corporation(a)  $786,423 
 14,161   LivePerson, Inc.(a)   901,914 
 3,805   Omnicell, Inc.(a)   557,433 
 19,427   PROS Holdings, Inc.(a)   843,520 
 6,027   Schrodinger, Inc.(a)   407,847 
 10,388   Sprout Social, Inc., Class A(a)   922,870 
 17,952   Tenable Holdings, Inc.(a)   768,346 
 4,909   Workiva, Inc.(a)   637,041 
 62,055   Yext, Inc.(a)   808,577 
         11,448,823 
     TECHNOLOGY HARDWARE - 3.6%     
 10,332   Fabrinet(a)   976,581 
 7,335   Kornit Digital Ltd.(a)   969,394 
 26,576   PagerDuty, Inc.(a)   1,078,719 
         3,024,694 
     TECHNOLOGY SERVICES - 4.8%     
 7,114   Endava plc - ADR(a)   915,003 
 9,833   MAXIMUS, Inc.   875,137 
 831   MSCI, Inc.   495,243 
 28,840   Telos Corporation(a)   808,097 
 11,676   WNS Holdings Ltd. - ADR(a)   961,402 
         4,054,882 
     TRANSPORTATION & LOGISTICS - 4.7%     
 41,769   Air Transport Services Group, Inc.(a)   1,010,810 
 14,592   CryoPort, Inc.(a)   900,618 
 60,215   Marten Transport Ltd.   952,601 
 4,642   Saia, Inc.(a)   1,049,092 
         3,913,121 
     TRANSPORTATION EQUIPMENT - 1.1%     
 36,823   Meritor, Inc.(a)   895,904 
         

 

 
     TOTAL COMMON STOCKS (Cost $60,328,437)   82,339,407 

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COLLATERAL FOR SECURITIES LOANED — 1.6%     
 1,315,294   HSBC US Government Money Market Fund - Class I, 0.03% (Cost $1,315,294)(c),(d)  $1,315,294 
         

 

 
     TOTAL INVESTMENTS - 100.2% (Cost $61,643,731)  $83,654,701 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (0.2)%   (181,072)
     NET ASSETS - 100.0%  $83,473,629 

 

ADR  - American Depositary Receipt
   
Ltd.  - Limited Company
   
MSCI  - Morgan Stanley Capital International
   
NV  - Naamioze Vennootschap
   
plc  - Public Limited Company

  

(a) Non-income producing security.
   
(b) All or a portion of these securities are on loan. Total loaned securities had a value of $1,289,170 at July 31, 2021.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(d) The Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement.  The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     CLOSED END FUNDS — 1.0%     
     MIXED ALLOCATION - 1.0%     
 136,545   Vietnam Enterprise Investments Ltd.(a) (Cost $861,698)  $1,241,197 
           
     COMMON STOCKS — 95.5%     
     AUTOMOTIVE - 1.4%     
 523,000   Geely Automobile Holdings Ltd.   1,754,334 
           
     BANKING - 9.5%     
 380,699   Banco Bradesco S.A. – ADR(b)   1,777,865 
 31,300   Banco Santander Chile - ADR   611,602 
 453,400   Bank Central Asia Tbk P.T.   935,980 
 292,500   China Merchants Bank Company Ltd., H Shares   2,225,198 
 68,700   ICICI Bank Ltd. – ADR(b)   1,277,133 
 160,900   Itau Unibanco Holding S.A. - ADR   928,393 
 367,800   Kasikornbank PCL - ADR   1,151,803 
 11,203   OTP Bank Nyrt(a)   605,693 
 1,426,500   Public Bank Bhd   1,345,759 
 102,166   Sberbank of Russia PJSC   403,877 
 41,267   Sberbank of Russia PJSC - ADR   687,096 
         11,950,399 
     BEVERAGES - 2.9%     
 258,200   Budweiser Brewing Company APAC Ltd.   720,584 
 182,900   Carabao Group PCL(a)   807,109 
 19,800   Heineken Malaysia Bhd   105,213 
 195,824   Varun Beverages Ltd.   2,005,482 
         3,638,388 
     BIOTECH & PHARMA - 0.5%     
 39,120   Joinn Laboratories China Company Ltd.   654,746 
           
     CHEMICALS - 0.5%     
 2,634,800   AKR Corporindo Tbk P.T.   655,927 

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 95.5% (Continued)     
     CONSUMER SERVICES - 1.4%     
 987,000   China Education Group Holdings Ltd.  $1,789,764 
           
     CONTAINERS & PACKAGING - 1.3%     
 785,300   SCG Packaging PCL   1,654,996 
           
     E-COMMERCE DISCRETIONARY - 7.1%     
 295,000   Alibaba Group Holding Ltd.(a),   7,204,666 
 50,200   JD.com, Inc.(a)   1,750,152 
         8,954,818 
     ELECTRICAL EQUIPMENT - 0.8%     
 267,299   Shanghai Liangxin Electrical Company Ltd.   905,490 
           
     ENGINEERING & CONSTRUCTION - 1.0%     
 66,518   Mytilineos S.A.   1,233,354 
           
     FOOD - 1.7%     
 7,301,700   Monde Nissin Corporation(a)   2,159,030 
           
     GAS & WATER UTILITIES - 0.7%     
 624,000   Guangdong Investment Ltd.   873,146 
           
     HEALTH CARE FACILITIES & SERVICES - 1.6%     
 59,800   Hangzhou Tigermed Consulting Company Ltd.   1,161,336 
 197,975   Max Healthcare Institute Ltd.(a)   790,296 
         1,951,632 
     HOME & OFFICE PRODUCTS - 1.4%     
 249,800   Haier Smart Home Company Ltd., H Shares   856,727 
 96,600   Midea Group Company Ltd.   952,886 
         1,809,613 
     HOUSEHOLD PRODUCTS - 1.6%     
 65,636   Hindustan Unilever Ltd.   2,062,346 
           
     INSTITUTIONAL FINANCIAL SERVICES - 0.9%     
 392,400   B3 S.A. - Brasil Bolsa Balcao   1,167,952 

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 95.5% (Continued)     
     INSURANCE - 3.9%     
 128,200   AIA Group Ltd.  $1,534,001 
 201,000   Ping An Insurance Group Company of China Ltd., H Shares   1,758,908 
 85,364   Prudential plc   1,603,441 
         4,896,350 
     INTERNET MEDIA & SERVICES - 7.4%     
 53,500   Dada Nexus Ltd. - ADR(a)   1,155,065 
 3,898   Naspers Ltd., N Shares   753,394 
 7,146   NAVER Corporation   2,693,339 
 59,100   Tencent Holdings Ltd.   3,564,189 
 17,800   Yandex N.V., Class A(a)   1,209,154 
         9,375,141 
     LEISURE FACILITIES & SERVICES - 3.5%     
 1,268,467   Lemon Tree Hotels Ltd.(a)   705,251 
 849,500   Minor International PCL - ADR(a)   768,379 
 122,926   OPAP S.A.   1,774,974 
 956,000   Wynn Macau Ltd.(a)   1,225,210 
         4,473,814 
     LEISURE PRODUCTS - 0.5%     
 59,000   Giant Manufacturing Company Ltd.   679,472 
           
     MACHINERY - 1.0%     
 317,690   Sany Heavy Industry Company Ltd., Class A   1,226,015 
           
     OIL & GAS PRODUCERS - 2.9%     
 344,921   Gazprom PJSC   1,344,266 
 460,500   PTT Exploration & Production PCL   1,442,245 
 777,600   PTT PCL - ADR   822,311 
         3,608,822 
     REAL ESTATE OWNERS & DEVELOPERS - 2.6%     
 90,626   Godrej Properties Ltd.(a)   1,954,449 
 418,000   KWG Group Holdings Ltd.   458,748 

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 95.5% (Continued)     
     REAL ESTATE OWNERS & DEVELOPERS - 2.6% (Continued)     
 177,300   Vinhomes JSC(a),  $836,488 
         3,249,685 
     REAL ESTATE SERVICES - 0.8%     
 300,200   ESR Cayman Ltd.(a)   1,055,141 
         

 

 
     RENEWABLE ENERGY - 4.2%     
 26,900   Contemporary Amperex Technology Company Ltd.   2,308,557 
 188,515   LONGi Green Energy Technology Company Ltd., Class A   2,519,883 
 5,258   OCI Company Ltd.(a)   521,683 
         5,350,123 
     RETAIL - CONSUMER STAPLES - 2.3%     
 662,000   Alibaba Health Information Technology Ltd.(a),   1,031,792 
 282,100   Atacadao S.A.   1,049,016 
 10,763   Magnit PJSC   787,686 
         2,868,494 
     RETAIL - DISCRETIONARY - 1.0%     
 18,531   CCC S.A.(a)   585,258 
 1,677,700   Home Product Center PCL   679,704 
         1,264,962 
     SEMICONDUCTORS - 12.0%     
 9,900   ACM Research, Inc., Class A(a),(b)   919,314 
 9,000   ASPEED Technology, Inc.(a)   724,846 
 58,000   MediaTek, Inc.   1,896,476 
 77,000   Realtek Semiconductor Corporation   1,625,763 
 15,184   SK Hynix, Inc.   1,486,458 
 370,000   Taiwan Semiconductor Manufacturing Company Ltd.   7,732,816 
 7,000   Taiwan Semiconductor Manufacturing Company Ltd. - ADR   816,480 
         15,202,153 
     SOFTWARE - 0.6%     
 80,000   Glodon Company Ltd.   783,105 
         

 

 
     SPECIALTY FINANCE - 2.8%     
 108,928   Housing Development Finance Corp Ltd.   3,585,869 

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 95.5% (Continued)     
     STEEL - 0.7%     
 681,000   China Steel Corporation  $888,139 
           
     TECHNOLOGY HARDWARE - 7.1%     
 155,000   Accton Technology Corporation   1,814,541 
 395,000   Hon Hai Precision Industry Company Ltd.   1,560,930 
 51,670   Samsung Electronics Company Ltd.   3,530,942 
 33,894   Samsung Electronics Company Ltd.   2,127,726 
         9,034,139 
     TECHNOLOGY SERVICES - 4.3%     
 147,599   Infosys Ltd.   3,216,760 
 213,050   Shanghai Baosight Software Company Ltd.   2,206,645 
         5,423,405 
     TELECOMMUNICATIONS - 1.3%     
 50,300   21Vianet Group, Inc. - ADR(a),(b)   871,699 
 101,682   Bharti Airtel Ltd.   769,143 
         1,640,842 
     TRANSPORTATION & LOGISTICS - 2.3%     
 91,976   Spring Airlines Company Ltd.(a)   676,371 
 32,072   Wizz Air Holdings plc(a)   2,205,015 
         2,881,386 
           
     TOTAL COMMON STOCKS (Cost $102,465,142)   120,702,992 
           
     WARRANT — 0.0%     
     LEISURE FACILITIES & SERVICES - 0.0%     
 26,977   Minor International PCL (Thailand)   7,345 
 42,772   Minor International PCL (Thailand)   6,142 
 38,763   Minor International PCL (Thailand)   4,529 
     TOTAL WARRANT (Cost $5,303)   18,016 

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COLLATERAL FOR SECURITIES LOANED — 2.5%     
 3,216,098   Mount Vernon Prime Portfolio, 0.10% (Cost $3,216,098)(c),(d)  $3,216,098 
           
     TOTAL INVESTMENTS - 99.0% (Cost $106,548,241)  $125,178,303 
     LIABILITIES IN EXCESS OF OTHER ASSETS - 1.0%   1,265,960 
     NET ASSETS - 100.0%  $126,444,263 

 

ADR - American Depositary Receipt
   
LTD - Limited Company
   
NV - Naamioze Vennootschap
   
PJSC - Public Joint-Stock Company
   
PLC - Public Limited Company
   
PT - Perseroan Terbatas
   
S/A - Société Anonyme

  

(a) Non-income producing security.
   
(b) All or a portion of these securities are on loan. Total loaned securities had a value of $3,103,380 at July 31, 2021.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(d)

The Trust’s securities lending policies and procedures require that the borrower: deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 105% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 105% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 105%.

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9%     
     ADVERTISING & MARKETING - 0.6%     
 64,300   Hakuhodo DY Holdings, Inc.  $977,635 
 2,563   WPP plc - ADR(f)   165,826 
         1,143,461 
     APPAREL & TEXTILE PRODUCTS - 1.8%     
 2,438   adidas A.G.   884,546 
 1,700   Burberry Group plc - ADR   48,943 
 38,200   Cie Financiere Richemont S.A. - ADR   487,432 
 8,293   Cie Financiere Richemont S.A.   1,060,721 
 11,300   Gildan Activewear, Inc. (f)   389,737 
 92,000   Pou Chen Corporation   116,360 
 182   Swatch Group A.G. (The)   60,682 
 10,100   Swatch Group A.G. (The) - ADR(f)   168,064 
         3,216,485 
     ASSET MANAGEMENT - 3.7%     
 31,954   Grupo de Inversiones Suramericana S.A.   134,591 
 24,200   IGM Financial, Inc.   853,547 
 37,168   Industrivarden A.B., C Shares   1,423,501 
 47,569   Investor A.B.   1,182,548 
 869,800   Itausa S.A.   1,889,290 
 1,533   Sofina S.A.   718,527 
 31,383   UBS Group A.G.   516,803 
         6,718,807 
     AUTOMOTIVE - 6.7%     
 26,600   Aisin Seiki Company Ltd.   1,076,431 
 10,200   Bayerische Motoren Werke A.G.   1,013,816 
 7,424   Continental A.G.   1,008,133 
 1,500   Denso Corporation   103,010 
 7,314   Hankook Tire & Technology Company Ltd.   307,849 
 23,900   Honda Motor Company Ltd. – ADR (f)   767,190 
 2,800   Honda Motor Company Ltd.   89,893 
 6,461   Hyundai Motor Company   556,844 
 58,500   Mitsubishi Motors Corporation(a)   164,302 
 77,900   Nissan Motor Company Ltd.(a)   451,934 
 3,193   Porsche Automobil Holding S.E.   345,451 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     AUTOMOTIVE - 6.7% (Continued)     
 131,975   Porsche Automobil Holding S.E. - ADR  $1,421,371 
 15,100   Renault S.A.,(a)   573,291 
 60,512   Stellantis N.V.   1,159,971 
 4,721   Stellantis N.V.   90,615 
 4,800   Sumitomo Electric Industries Ltd.   68,164 
 3,900   Sumitomo Rubber Industries Ltd.   52,469 
 10,100   Toyoda Gosei Company Ltd.   237,310 
 5,562   Volkswagen A.G.   1,354,227 
 144,600   Weifu High-Technology Group Company Ltd.   268,355 
 35,700   Yamaha Motor Company Ltd.   893,586 
         12,004,212 
     BANKING - 5.6%     
 208,800   Banco Bradesco S.A.   843,784 
 135,986   Banco Santander Mexico S.A. Institucion de Banca - ADR   796,878 
 18,719   Bank AlBilad(a)   183,126 
 23,181   Bank of China Ltd. - ADR   201,211 
 31,712   BNK Financial Group, Inc.   213,463 
 272,000   Chongqing Rural Commercial Bank Company Ltd., H Shares   101,519 
 181,595   Gulf Bank KSCP   145,083 
 10,225   Hana Financial Group, Inc.   385,775 
 12,801   Industrial & Commercial Bank of China Ltd. – ADR (f)   141,707 
 449,900   Mebuki Financial Group, Inc.   962,485 
 101,100   Mitsubishi UFJ Financial Group, Inc. – ADR (f)   536,841 
 80,753   Quinenco S.A.   153,279 
 782,500   Sberbank of Russia PJSC   3,271,260 
 189,180   Sberbank of Russia PJSC   747,856 
 1,915,580,000   VTB Bank PJSC   1,275,209 
         9,959,476 
     BEVERAGES - 1.1%     
 33,900   Anhui Yingjia Distillery Company Ltd.   189,391 
 6,551   Coca-Cola Europacific Partners plc   405,107 
 25,401   Coca-Cola HBC AG   959,457 
 139,001   Embotelladora Andina S.A.   332,433 
 8,099   Sichuan Swellfun Company Ltd.   128,249 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     BEVERAGES - 1.1% (Continued)  $2,014,637 
           
     BIOTECH & PHARMA - 3.0%     
 8,700   Astellas Pharma, Inc.   138,511 
 74,213   GlaxoSmithKline plc - ADR(f)   2,978,910 
 1,300   Hisamitsu Pharmaceutical Company, Inc.   56,917 
 18,200   Ono Pharmaceutical Company Ltd.   415,302 
 4,784   Roche Holding A.G.   1,847,201 
         5,436,841 
     CHEMICALS - 8.3%     
 162,500   ADAMA Ltd.   241,063 
 195,500   Bluestar Adisseo Company   325,719 
 15,084   Brenntag S.E.   1,506,012 
 38,475   Clariant A.G.(a)   800,017 
 20,889   Covestro A.G.   1,345,186 
 29,100   Daicel Corporation   241,581 
 261,795   Fangda Carbon New Material Company Ltd.   357,183 
 38   Givaudan S.A.   189,573 
 8,100   Kaneka Corporation   320,606 
 22,800   Kansai Paint Company Ltd.   559,725 
 475   KCC Corporation   146,814 
 73,500   Kuraray Company Ltd.   682,211 
 7,800   Mitsubishi Chemical Holdings Corporation   65,422 
 27,300   Mitsubishi Gas Chemical Company, Inc.   568,450 
 23,900   Mitsui Chemicals, Inc.   761,833 
 145,276   National Industrialization Company(a)   837,349 
 21,400   Nippon Sanso Holdings Corporation   473,517 
 3,200   Nitto Denko Corporation   237,657 
 58,970   Orbia Advance Corp S.A.B. de C.V.   161,088 
 10,128   PhosAgro PJSC   637,406 
 14,171   Sasol Ltd.,(a)   211,600 
 26,739   Saudi Arabian Fertilizer Company   913,935 
 30,326   Saudi Industrial Investment Group   298,820 
 6,800   Shin-Etsu Chemical Company Ltd.   1,108,824 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     CHEMICALS - 8.3% (Continued)     
 18,900   Sinopec Shanghai Petrochemical Company Ltd. - ADR  $393,498 
 9,200   Sumitomo Chemical Company Ltd.   47,871 
 236,100   Tangshan Sanyou Chemical Industries Company Ltd., Advisor Class   451,270 
 42,700   Toray Industries, Inc.   281,029 
 344,300   Xinjiang Zhongtai Chemical Company Ltd.   614,208 
 1,096   Yara International ASA   57,766 
         14,837,233 
     COMMERCIAL SUPPORT SERVICES - 1.8%     
 19,745   Adecco Group A.G.   1,181,866 
 51,000   Centre Testing International Group Company Ltd.   214,891 
 43,600   Persol Holdings Company Ltd.   879,286 
 219   SGS S.A.   708,480 
 2,400   SGS S.A. - ADR   77,688 
 2,800   Sohgo Security Services Company Ltd.   130,876 
         3,193,087 
     CONSTRUCTION MATERIALS - 0.8%     
 1,100   AGC, Inc.   47,020 
 619,000   CSG Holding Company Ltd.   320,432 
 10,910   James Hardie Industries plc – ADR (f)   368,322 
 4,900   James Hardie Industries plc - ADR   165,589 
 10,281   Saudi Cement Company   177,837 
 10,500   Taiheiyo Cement Corporation   244,536 
 8,762   Titan Cement International S.A.   165,770 
         1,489,506 
     CONTAINERS & PACKAGING - 0.1%     
 123,000   Klabin S.A.(a)   111,838 
           
     DIVERSIFIED INDUSTRIALS - 1.2%     
 2,940   Doosan Company Ltd.   175,045 
 16,100   Hitachi Ltd.   925,679 
 18,800   Kawasaki Heavy Industries Ltd.(a)   394,434 
 5,000   Mitsubishi Heavy Industries Ltd.   144,407 
 5,700   Omron Corporation   487,578 
         2,127,143 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     E-COMMERCE DISCRETIONARY - 0.1%     
 5,700   ZOZO, Inc.  $194,055 
           
     ELECTRIC UTILITIES - 1.2%     
 26,452   CEZ A/S   734,269 
 34,000   Chubu Electric Power Company, Inc.   407,852 
 682,000   Huadian Power International Corp Ltd.   188,544 
 8,104   Huaneng Power International, Inc. – ADR (f)   109,485 
 1,462,000   Huaneng Power International, Inc.   496,641 
 52,622   Origin Energy Ltd.   159,243 
         2,096,034 
     ELECTRICAL EQUIPMENT - 1.7%     
 53,079   ABB Ltd. - ADR   1,943,753 
 2,600   Daikin Industries Ltd.   542,743 
 2,100   Fuji Electric Company Ltd.   91,865 
 1,566   Schindler Holding A.G.   487,726 
         3,066,087 
     ENGINEERING & CONSTRUCTION - 0.1%     
 144,651   China Merchants Expressway Network & Technology  $153,242 
 1   Enka Insaat ve Sanayi A/S   1 
         153,243 
     ENTERTAINMENT CONTENT - 0.2%     
 2,800   Capcom Company Ltd.   76,957 
 5,000   Koei Tecmo Holdings Company Ltd.   234,820 
         311,777 
     FOOD - 0.3%     
 41   Chocoladefabriken Lindt & Spruengli A.G.   459,000 
 124,600   Indofood Sukses Makmur Tbk P.T.   52,375 
         511,375 
     HEALTH CARE FACILITIES & SERVICES - 0.3%     
 1,422   ICON plc(a)   345,930 
 2,794   Mouwasat Medical Services Company   134,402 
         480,332 
     HOME & OFFICE PRODUCTS - 0.0%(b)     
 1   Arcelik A/S   4 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     HOME CONSTRUCTION - 0.7%     
 9,600   LIXIL Group Corporation  $261,877 
 30,100   Sekisui Chemical Company Ltd.   519,177 
 8,700   TOTO Ltd.   450,912 
         1,231,966 
     HOUSEHOLD PRODUCTS - 0.7%     
 1,500   Amorepacific Corporation   103,280 
 4,933   AMOREPACIFIC Group   247,259 
 1,500   Kose Corporation   236,919 
 28,400   Pola Orbis Holdings, Inc.   678,607 
         1,266,065 
     INDUSTRIAL INTERMEDIATE PROD - 0.8%     
 212,400   China International Marine Containers Group   515,958 
 75,700   Hartalega Holdings Bhd   126,311 
 41,300   NSK Ltd.   340,704 
 297,504   Zhejiang Hailiang Company Ltd.   524,512 
         1,507,485 
     INSTITUTIONAL FINANCIAL SERVICES - 0.9%     
 51,300   Daiwa Securities Group, Inc.   269,642 
 268,400   Haitong Securities Company Ltd.   221,199 
 110,420   Mirae Asset Daewoo Company Ltd.   442,898 
 13,776   NH Investment & Securities Company Ltd.   136,626 
 111,000   Nomura Holdings, Inc.   555,614 
         1,625,979 
     INSURANCE - 3.0%     
 2,172   Aegon N.V.   9,244 
 6,800   AIA Group Ltd. - ADR   325,958 
 46,317   China Life Insurance Company Ltd. - ADR(f)   386,284 
 363,000   China Life Insurance Company Ltd.   342,321 
 10,200   COFCO Capital Holdings Company Ltd.   12,539 
 6,500   Dai-ichi Life Holdings, Inc.   119,584 
 12,423   Hanwha Corporation   322,777 
 7,097   Hyundai Marine & Fire Insurance Company Ltd.   160,119 
 50,800   MS&AD Insurance Group Holdings, Inc.   1,569,637 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     INSURANCE - 3.0% (Continued)     
 19,730   NN Group N.V.   980,533 
 2,312,000   People’s Insurance Company Group of China Ltd., H Shares  $717,476 
 3,206   Samsung Fire & Marine Insurance Company Ltd.   450,721 
         5,397,193 
     INTERNET MEDIA & SERVICES - 0.9%     
 6,400   M3, Inc.   418,431 
 10,848   REA Group Ltd.   1,294,370 
         1,712,801 
     LEISURE FACILITIES & SERVICES - 0.5%     
 24,953   Aristocrat Leisure Ltd.   765,940 
 41,200   Kingdom Holding Company   118,278 
         884,218 
     LEISURE PRODUCTS - 0.2%     
 34,000   Giant Manufacturing Company Ltd.   391,560 
           
     MACHINERY - 2.4%     
 35,259   CNH Industrial N.V.   588,517 
 4,103   FANUC Corporation - ADR   91,897 
 500   FANUC Corporation   111,938 
 7,034   GEA Group A.G.   311,772 
 3,000   Keyence Corporation   1,670,324 
 502   Rational AG   546,433 
 4,863   Techtronic Industries Company Ltd. - ADR   437,184 
 7,000   Techtronic Industries Company Ltd.   124,825 
 460,500   Tian Di Science & Technology Company Ltd.   303,875 
         4,186,765 
     MEDICAL EQUIPMENT & DEVICES - 1.6%     
 7,200   Hoya Corporation   1,016,004 
 14,165   Koninklijke Philips N.V.   652,894 
 21,900   Olympus Corporation   450,503 
 6,700   Shimadzu Corporation   270,104 
 27,710   Smith & Nephew plc   565,614 
         2,955,119 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     METALS & MINING - 7.7%     
 23,435   Anglo American plc  $1,038,760 
 34,577   BHP Group plc - ADR(f)   2,257,532 
 36,022   BHP Group plc   1,166,555 
 120,600   China Shenhua Energy Company Ltd.   318,045 
 27,372   First Quantum Minerals Ltd.   585,877 
 10,400   First Quantum Minerals Ltd.   221,936 
 18,600   Grupo Mexico S.A.B. de C.V. - Series B   85,397 
 116,629   Huaibei Mining Holdings Company Ltd.   209,644 
 3,591   MMC Norilsk Nickel PJSC - ADR   124,105 
 3,785   MMC Norilsk Nickel PJSC   1,308,152 
 39,026   Northam Platinum Ltd.(a)   615,496 
 9,035   Rio Tinto Ltd.   886,968 
 4,296   Rio Tinto plc   364,996 
 9,616   Rio Tinto plc – ADR (f)   829,957 
 27,683   South32 Ltd.   60,761 
 11,689   Southern Copper Corporation   767,266 
 78,600   Vale S.A.   1,675,199 
 65,014   Vale S.A. - ADR(f)   1,366,594 
         13,883,240 
     OIL & GAS PRODUCERS - 7.3%     
 743,000   China Petroleum & Chemical Corporation   459,017 
 1,550,000   China Petroleum & Chemical Corporation, H Shares   708,765 
 17,700   ENEOS Holdings, Inc.   74,320 
 32,540   Eni SpA - ADR   764,690 
 13,665   Eni SpA   161,536 
 247,390   Gazprom PJSC   964,157 
 2,199,440   Guanghui Energy Company Ltd.(a)   1,371,755 
 58,300   Idemitsu Kosan Company Ltd.   1,371,811 
 6,400   Inpex Corporation   45,374 
 24,250   LUKOIL PJSC   2,082,114 
 97,528   MOL Hungarian Oil & Gas plc(a)   778,995 
 22,511   Motor Oil Hellas Corinth Refineries S.A.(a)   361,655 
 9,000   OMV A.G.   485,760 
 7,492   PetroChina Company Ltd. – ADR (f)   313,465 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     OIL & GAS PRODUCERS - 7.3% (Continued)     
 2,085,400   PetroChina Company Ltd.  $1,510,822 
 281,953   Polskie Gornictwo Naftowe i Gazownictwo S.A.   460,333 
 18,394   Repsol S.A.   201,392 
 117,940   Rosneft Oil Company PJSC   875,565 
 566,128   Shandong Xinchao Energy Corp Ltd.(a)   135,362 
         13,126,888 
     OIL & GAS SERVICES & EQUIPMENT - 0.1%     
 2,292,000   Sinopec Oilfield Service Corporation(a)   188,842 
           
     PUBLISHING & BROADCASTING - 0.3%     
 165,043   Chinese Universe Publishing and Media Group, Class A   275,252 
 20,633   Pearson plc – ADR (f)   250,898 
         526,150 
     REAL ESTATE OWNERS & DEVELOPERS - 0.9%     
 50,300   Aeon Mall Company Ltd.   766,364 
 923,012   Emaar Malls PJSC(a)   476,545 
 37,000   Hang Lung Group Ltd.   90,605 
 124   United Urban Investment Corporation   182,327 
         1,515,841 
     RETAIL - CONSUMER STAPLES - 0.7%     
 66,193   Cencosud S.A.   120,051 
 77,648   CK Hutchison Holdings Ltd. - ADR(f)   564,501 
 3,577   Magnit PJSC   261,781 
 8,400   Sundrug Company Ltd.   272,570 
         1,218,903 
     RETAIL - DISCRETIONARY - 0.6%     
 47,089   Kingfisher plc   241,930 
 12,400   USS Company Ltd.   215,770 
 130,300   Yamada Holdings Company Ltd.   615,344 
         1,073,044 
     SEMICONDUCTORS - 8.1%     
 6,700   Advantest Corporation   591,240 
 77,000   ASE Technology Holding Company Ltd. – ADR (f)   682,990 
 6,263   ASML Holding N.V.   4,785,528 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     SEMICONDUCTORS - 8.1% (Continued)     
 1,124   ASML Holding N.V. - ADR  $861,816 
 14,214   SK Hynix, Inc.   1,391,499 
 10,600   SUMCO Corporation   245,060 
 55,000   Taiwan Semiconductor Manufacturing Company Ltd.   1,149,473 
 20,765   Taiwan Semiconductor Manufacturing Company Ltd. - ADR   2,422,029 
 2,500   Tokyo Electron Ltd.   1,030,641 
 4,100   Tokyo Electron Ltd. - ADR   427,425 
 415,000   United Microelectronics Corporation   867,826 
         14,455,527 
     SOFTWARE - 2.6%     
 5,367   Atlassian Corp plc, Class A(a)   1,744,919 
 6,223   Check Point Software Technologies Ltd.(a)   790,943 
 100   Constellation Software, Inc.   160,086 
 3,750   Nemetschek S.E.   330,804 
 9,304   Open Text Corporation   482,971 
 16,965   Sage Group plc (The)   165,406 
 91,520   Sinosoft Company Ltd.   370,259 
 3,691   Temenos A.G.   586,019 
         4,631,407 
     SPECIALTY FINANCE - 0.2%     
 678,400   Bohai Leasing Company Ltd.(a)   265,948 
 2,786   Samsung Card Company Ltd.(a)   84,844 
         350,792 
     STEEL - 1.5%     
 398,000   Angang Steel Company Ltd.   272,099 
 27,897   BlueScope Steel Ltd.   495,515 
 72,608   Eregli Demir ve Celik Fabrikalari TAS   172,569 
 15,500   Gerdau S.A.   78,537 
 8,272   Hyundai Steel Company   389,111 
 67,299   Iskenderun Demir ve Celik A/S   98,896 
 268,000   Maanshan Iron & Steel Company Ltd.   137,185 
 4,700   Nippon Steel Corporation   81,499 
 71,280   Novolipetskiy Metallurgicheskiy Kombinat PAO   251,928 
 383   POSCO   121,816 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     STEEL - 1.5% (Continued)     
 145,700   Shanxi Taigang Stainless Steel Company Ltd.  $230,623 
 417,800   Xinxing Ductile Iron Pipes Company Ltd.   262,209 
         2,591,987 
     TECHNOLOGY HARDWARE - 9.5%     
 523,000   AU Optronics Corporation   387,667 
 10,100   Brother Industries Ltd.   205,460 
 6,400   Canon, Inc.   147,319 
 103,000   Chicony Electronics Company Ltd.   297,144 
 1,005   FUJIFILM Holdings Corporation - ADR   72,008 
 36,416   LG Display Company Ltd.,(a)   699,702 
 8,191   LG Electronics, Inc.   543,018 
 2,005   Logitech International S.A.   220,179 
 52,000   MINEBEA MITSUMI, Inc.   1,403,472 
 66,300   Nikon Corporation   616,957 
 2,900   Nintendo Company Ltd.   1,490,289 
 113,676   Nokia OYJ - ADR(a)   691,150 
 20,218   Nokia OYJ(a)   124,179 
 89,200   Panasonic Corporation   1,076,654 
 813   Panasonic Corporation - ADR   9,862 
 65,900   Ricoh Company Ltd.   719,784 
 480   Samsung Electronics Company Ltd. - ADR   823,920 
 64,406   Samsung Electronics Company Ltd.   4,401,275 
 19,632   Samsung Electronics Company Ltd.   1,232,416 
 259   Samsung Electronics Company Ltd. 144A - ADR(c)   407,666 
 1,200   Sony Group Corporation   125,308 
 3,400   TDK Corporation   387,781 
 87,010   Telefonaktiebolaget LM Ericsson, B Shares   1,004,091 
         17,087,301 
     TECHNOLOGY SERVICES - 1.9%     
 15,300   Adyen N.V. - ADR(a)   829,719 
 671   Bechtle A.G.   138,498 
 9,700   CGI, Inc.(a), (f)   882,021 
 3,600   Fujitsu Ltd.   612,218 
 5,551   Wolters Kluwer N.V.   632,593 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 94.9% (Continued)     
     TECHNOLOGY SERVICES - 1.9% (Continued)     
 2,435   Wolters Kluwer N.V. - ADR  $277,237 
         3,372,286 
     TELECOMMUNICATIONS - 0.8%     
 99,360   Mobile TeleSystems PJSC   427,702 
 29,600   Nippon Telegraph & Telephone Corporation   757,690 
 23,002   SES S.A. - ADR   177,264 
 10,222   Telecom Italia SpA, Savings Shares   4,764 
         1,367,420 
     TRANSPORTATION & LOGISTICS - 1.4%     
 211   AP Moller - Maersk A/S - Series A   563,918 
 253,110   COSCO SHIPPING Holdings Company Ltd.(a)   696,186 
 142,000   COSCO SHIPPING Ports Ltd.   101,339 
 3,536   Deutsche Post A.G.   239,548 
 16,000   Evergreen Marine Corp Taiwan Ltd.,(a)   76,096 
 1,000   Nippon Yusen KK   54,010 
 13,500   SG Holdings Company Ltd.   362,853 
 472,300   Shandong Hi-speed Company Ltd.   450,965 
 1   Turk Hava Yollari AO(a)   1 
         2,544,916 
     TRANSPORTATION EQUIPMENT - 0.3%     
 19,019   Traton S.E.   596,315 
           
     WHOLESALE - CONSUMER STAPLES - 0.1%     
 29,500   Marubeni Corporation   250,984 
           
     WHOLESALE - DISCRETIONARY - 0.6%     
 21,700   Toyota Tsusho Corporation   1,024,142 
 106,888   Xiamen ITG Group Corp Ltd.   117,670 
         1,141,812 
           
     TOTAL COMMON STOCKS (Cost $140,239,265)   170,148,439 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     EXCHANGE-TRADED FUNDS — 1.0%     
     EQUITY - 1.0%     
 26,769   Global X MSCI Argentina ETF(f)  $838,402 
 11,100   iShares MSCI EAFE ETF(f)   882,339 
     TOTAL EXCHANGE-TRADED FUNDS (Cost $1,532,711)   1,720,741 
           
     COLLATERAL FOR SECURITIES LOANED – 7.4 %     
 13,240,127   Mount Vernon Liquid Asset Portfolio, 0.11% (Cost $13,240,127) (d),(f)   13,240,127 
           
     TOTAL INVESTMENTS – 103.3% (Cost $155,012,103)  $185,109,306 
     LIABILITIES IN EXCESS OF OTHER ASSETS – (3.3)%   (5,819,068)
     NET ASSETS - 100.0%  $179,290,238 

 

ADR  - American Depositary Receipt
   
A/S  - Anonim Sirketi
   
EAFE  - Europe, Australasia and Far East
   
ETF  - Exchange-Traded Fund
   
LTD  - Limited Company
   
MSCI  - Morgan Stanley Capital International
   
NV  - Naamioze Vennootschap
   
OYJ  - Julkinen osakeyhtiö
   
PJSC  - Public Joint-Stock Company
   
PLC  - Public Limited Company
   
PT  - Perseroan Terbatas
   
S/A  - Société Anonyme
   
TAS  - Turkish Accounting Standards

 

(a) Non-income producing security.
   
(b) Percentage rounds to less than 0.1%.
   
(c) Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers.  As of July 31,2021, the total market value of 144A securities is 407,666 or 0.2% of net assets.
   
(d) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(e) All or a portion of these securities are on loan. Total loaned securities had a value of $12,724,798 at July 31, 2021.
   
(f) The Trust’s securities lending policies and procedures require that the borrower. (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM DYNAMIC MACRO FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     EXCHANGE-TRADED FUNDS — 34.8%     
     COMMODITY - 7.2%     
 53,815   iShares GSCI Commodity Dynamic  $1,875,453 
           
     EQUITY - 27.6%     
 7,719   iShares Currency Hedged MSCI Germany ETF(a)   253,072 
 8,410   iShares MSCI Emerging Markets ETF(a)   433,956 
 14,703   SPDR S&P 500 ETF Trust(a)   6,447,412 
         7,134,440 
           
     TOTAL EXCHANGE-TRADED FUNDS (Cost $5,272,170)   9,009,893 

 

Principal
Amount ($)
      Coupon Rate
(%)
   Maturity     
     U.S. GOVERNMENT & AGENCIES — 41.3%               
     U.S. TREASURY BILLS — 41.3%               
 56,000   United States Treasury Bill   0.0357    09/09/21    55,998 
 9,989,000   United States Treasury Bill   0.0335    09/16/21    9,988,563 
 32,000   United States Treasury Bill   0.0422    04/21/22    31,990 
 611,000   United States Treasury Bill   0.0546    05/19/22    610,729 
     TOTAL U.S. GOVERNMENT & AGENCIES (Cost $10,687,471)    10,687,280 

 

Shares        
     SHORT-TERM INVESTMENTS — 16.2%     
     MONEY MARKET FUNDS – 16.2%     
 4,184,891  

Morgan Stanley Institutional Liquidity Funds -, Institutional Class, 0.03% (Cost $4,184,891)(B)

   4,184,891 
           
     COLLATERAL FOR SECURITIES LOANED - 27.1%     
 7,015,722   Mount Vernon Prime Portfolio, 0.10% (Cost $7,015,722)(b),(c)   7,015,722 

 

Contracts(d)      Counterparty   Expiration Date  Exercise Price   Notional Value     
    FUTURE OPTIONS PURCHASED – 3.7%           
     CALL OPTIONS PURCHASED - 3.9%               
 12   S&P 500 E-Mini, Expiring December 2021  GS   09/17/2021  $4,380   $2,633,700    58,260 
 65   US 10 Year Future, Expiring December 2021  GS   08/27/2021   120    8,719,100    939,452 
       TOTAL CALL OPTIONS PURCHASED (Cost - $801,607)         997,712 

 

 

DUNHAM DYNAMIC MACRO FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Contracts(d)     Counterparty   Expiration Date  Exercise Price   Notional Value   Fair Value 
     FUTURE OPTIONS PURCHASED - 3.7% (Continued)         
     PUT OPTIONS PURCHASED – (0.2)%         
 13   Euro-Bund Option, Expiring December 2021(e)  GS   08/27/2021  $184.5   $2,722,070   $(98,002)
 12   S&P 500 E-Mini, Expiring December 2021  GS   10/29/2021   4,190    2,627,640    53,820 
     TOTAL PUT OPTIONS PURCHASED (Cost - $273,254)     (44,182)
                            
     TOTAL FUTURE OPTIONS PURCHASED (Cost - $1,074,861)    953,530 
                            
     TOTAL INVESTMENTS - 123.1% (Cost $28,235,115)    $ 31,851,316 
     CALL OPTIONS WRITTEN - (0.2)% (Proceeds - $17,256)   (48,540)
     PUT OPTIONS WRITTEN - (0.1)% (Proceeds - $39,058)    (37,920)
     LIABILITIES IN EXCESS OF OTHER ASSETS - (22.8)%    (5,903,415)
     NET ASSETS - 100.0%   $25,861,441 
            
Contracts(d)     Counterparty   Expiration Date  Exercise Price   Notional Value     
     WRITTEN FUTURE OPTIONS - (0.3)%      
     CALL OPTIONS WRITTEN- (0.2)%     
 12   S&P 500 E-Mini, Expiring December 2021  GS   08/20/2021  $4,350   $2,633,700   $48,540 
     TOTAL CALL OPTIONS WRITTEN (Proceeds - $17,256)    
                            
     PUT OPTIONS WRITTEN - (0.1)%      
 24   S&P 500 E-Mini, Expiring December 2021  GS   10/29/2021   3,700   $5,255,280    37,920 
     TOTAL PUT OPTIONS WRITTEN (Proceeds - $39,058)      
                            
     TOTAL FUTURE OPTIONS WRITTEN (Proceeds - $56,314)   86,460 

 

OPEN FUTURES CONTRACTS
Number of
Contracts
   Open Long Futures Contracts   Expiration   Notional Amount    Unrealized
Appreciation
(Depreciation)
 
 52   CBOT 10 Year US Treasury Note   09/21/2021   $6,991,557   $52,520 
 5   CME E-mini Russell 2000 Index Futures   09/17/2021    555,400    (21,013)
 7   CME E-Mini Standard & Poor’s 500 Index Future   09/17/2021    1,536,325    6,104 
 1   Eurex DAX Index Future   09/17/2021    460,950    (5,770)
 5   Euronext CAC 40 Index Future   08/20/2021    391,878    3,062 
 20   FTSE 100 Index Future   09/17/2021    1,937,176    (2,098)
 1   FTSE/MIB Index Future   09/17/2021    150,342    8,530 
 22   MONTREAL EXCHANGE 10 YEAR CANADIAN BOND FUTURE   09/21/2021    2,608,419    37,870 
 1   Montreal Exchange S&P/TSX 60 Index Future   09/16/2021    194,240    1,449 

 

 

DUNHAM DYNAMIC MACRO FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

OPEN FUTURES CONTRACTS (Continued)
Number of
Contracts
   Open Long Futures Contracts    Expiration   Notional Amount   Unrealized
Appreciation
(Depreciation)
 
 41   SFE 10 Year Australian Bond Future   09/15/2021    4,381,856   $78,676 
 2   SFE S&P ASX Share Price Index 200 Future   09/16/2021    268,293    2,557 
 10   TSE TOPIX (Tokyo Price Index) Future   09/09/2021    1,735,763    (35,968)
     TOTAL FUTURES CONTRACTS   $125,919 

  

OPEN FUTURES CONTRACTS 
Number of
Contracts
   Open Short Futures Contracts  Expiration   Notional Amount   Unrealized
Appreciation
(Depreciation)
 
 9   Eurex 10 Year Euro BUND Future   09/08/2021   $1,884,392   $(17,895)
 7   Eurex Swiss Market New Index Future   09/17/2021    934,569    (10,112)
 2   HKG Hang Seng Index Future   08/30/2021    333,243    708 
 17   Long Gilt Future   09/28/2021    3,067,712    (19,265)
     TOTAL FUTURES CONTRACTS   $(46,564)

 

ETF  - Exchange-Traded Fund
   
MSCI  - Morgan Stanley Capital International
   
SPDR  - Standard & Poor’s Depositary Receipt
   
GS Goldman Sachs

 

(a) All or a portion of these securities are on loan. Total loaned securities had a value of $6,841,213 July 31, 2021.
   
(b) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(c)

The Trust’s securities lending policies and procedures require that the borrower: deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%. 

   
(d) Each option contract allows the holder of the option to purchase or sell 100 shares of the underlying security.
   
(e) Security traded on Eurex exchange and trades like a future. Security trades with no upfront cost and is mark to market like a future.

 

 

DUNHAM LONG/SHORT CREDIT FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares                          Fair Value 
     COMMON STOCKS — 0.0%(a)                         
     TELECOMMUNICATIONS - 0.0%(a)                  
 10,000   NII Holdings, Inc. 144A(b),(c)               $21,700 
                               
     TOTAL COMMON STOCKS (Cost $57,730)              21,700 
                               
     PREFERRED STOCKS — 7.4%                         
     BANKING - 2.0%                         
 170,310   JPMorgan Chase & Company(b)                       4,269,672 
                               
     REAL ESTATE SERVICES - 1.6%                         
 51,245   ACRES Commercial Realty Corporation                1,287,787 
 2,000   UIRC-GSA International, LLC 144A(c)          2,040,000 
                             3,327,787 
     SPECIALTY FINANCE - 3.8%                         
 86,836   Arbor Realty Trust, Inc.                       2,223,002 
 102,000   KKR Real Estate Finance Trust, Inc.(d)              2,762,160 
 120,000   TPG RE Finance Trust, Inc.(b)              2,944,799 
                             7,929,961 
                               
     TOTAL PREFERRED STOCKS (Cost $15,259,775)          15,527,420 
                               
Principal
Amount ($)
      Spread  Coupon Rate (%)   Maturity     
    CORPORATE BONDS — 39.3%            
     ASSET MANAGEMENT — 1.3%           
 1,255,000   Blackstone Secured Lending Fund      3.6250    01/15/26    1,338,092 
 1,330,000   UBS Group A.G.(c),(d)  H15T5Y + 33.130%   4.3750    08/10/69    1,373,225 
                      2,711,317 
     AUTOMOTIVE — 0.5%           
 1,010,000   General Motors Financial Company, Inc.(e)  ICE LIBOR USD 3
Month + 1.550%
   1.6830    01/14/22    1,015,795 

 

 

DUNHAM LONG/SHORT CREDIT FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate (%)   Maturity   Fair Value 
    CORPORATE BONDS — 39.3% (Continued)            
    BANKING — 4.7%            
 2,740,000   HSBC Holdings plc(d)  US Treasury Yield
Curve Rate T Note
Constant Maturity
5 Year + 3.649%
   4.6000    06/17/69   $2,820,830 
 2,005,000   JPMorgan Chase & Company(e)  ICE LIBOR USD 3
Month + 0.550%
   0.7300    02/01/27    1,937,670 
 2,740,000   NTC Capital II(e)  US0003M + 0.590%   0.7160    04/15/27    2,684,104 
 1,000,000   Wells Fargo & Company(e)  US0003M + 0.500%   0.6260    01/15/27    965,716 
 795,000   Wells Fargo & Company      5.9500    12/01/86    1,124,180 
                      9,532,500 
     BIOTECH & PHARMA — 2.8%              
 1,350,000   AstraZeneca plc      6.4500    09/15/37    2,054,560 
 1,000,000   Organon Finance 1, LLC(c),(d)      4.1250    04/30/28    1,026,715 
 2,000,000   Organon Finance 1, LLC(c)      5.1250    04/30/31    2,062,499 
 575,000   Takeda Pharmaceutical Company Ltd.      5.0000    11/26/28    699,294 
                      5,843,068 
     CABLE & SATELLITE — 1.2%            
 1,000,000   DIRECTV Holdings, LLC / DIRECTV Financing Company,(c)      5.8750    08/15/27    1,033,750 
 1,500,000   LCPR Senior Secured Financing DAC(c),(d)      5.1250    07/15/29    1,538,753 
                      2,572,503 
     FOOD — 2.0%               
 2,100,000   Del Monte Foods, Inc.(c)      11.8750    05/15/25    2,386,157 
 700,000   Kraft Heinz Foods Company      5.0000    06/04/42    877,574 
 890,000   Smithfield Foods, Inc.(c)      2.6500    10/03/21    891,758 
                      4,155,489 
     INSTITUTIONAL FINANCIAL SERVICES — 0.8%            
 1,150,000   Goldman Sachs Capital I      6.3450    02/15/34    1,635,677 
                        
     INSURANCE — 3.0%            
 2,155,000   Mutual of Omaha Insurance Company(c)  ICE LIBOR USD 3
Month + 2.640%
   4.2970    07/15/54    2,257,741 
 1,980,000   Ohio National Financial Services, Inc.(c),(d)      5.5500    01/24/30    2,302,434 
 1,000,000   Pacific Life Insurance Company(c)      9.2500    06/15/39    1,669,293 
                      6,229,468 
     LEISURE FACILITIES & SERVICES — 0.8%           
 1,650,000   Mohegan Gaming & Entertainment(c),(d)      8.0000    02/01/26    1,720,026 

 

 

DUNHAM LONG/SHORT CREDIT FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate (%)   Maturity   Fair Value 
    CORPORATE BONDS — 39.3% (Continued)            
     LEISURE PRODUCTS — 1.0%                  
 2,000,000   MajorDrive Holdings IV, LLC(c)      6.3750    06/01/29   $1,972,530 
                        
     METALS & MINING — 2.3%                  
 1,500,000   First Quantum Minerals Ltd.(c),(d)      6.8750    10/15/27    1,627,598 
 2,930,000   FMG Resources August 2006 Pty Ltd.(c),(d)   4.3750    04/01/31    3,193,700 
                      4,821,298 
     OIL & GAS PRODUCERS — 7.6%              
 1,500,000   Comstock Resources, Inc.(c),(d)      5.8750    01/15/30    1,510,050 
 2,525,000   Energean Israel Finance Ltd.      5.8750    03/30/31    2,594,286 
 3,500,000   New Fortress Energy, Inc.(c),(d)      6.5000    09/30/26    3,540,408 
 2,320,000   SM Energy Company(d)      6.5000    07/15/28    2,314,246 
 3,775,000   Tullow Oil plc(c)      10.2500    05/15/26    3,942,874 
 1,880,000   Venture Global Calcasieu Pass, LLC(c)   4.1250    08/15/31    1,948,150 
                      15,850,014 
     REAL ESTATE INVESTMENT TRUSTS — 0.9%                  
 1,755,000   Scentre Group Trust 2(c),(d)  US Treasury Yield
Curve Rate T Note
Constant Maturity
5 Year + 4.379%
   4.7500    09/24/80    1,876,173 
                        
     SPECIALTY FINANCE — 3.6%                  
 1,405,000   Finance of America Funding, LLC B(c),(d)  7.8750    11/15/25    1,396,134 
 785,000   GE Capital International Funding Company Unlimited   4.4180    11/15/35    963,142 
 2,500,000   Jefferson Capital Holdings, LLC(c)   6.0000    08/15/26    2,534,375 
 2,750,000   Midcap Financial Issuer Trust(c)      5.6250    01/15/30    2,710,958 
                      7,604,609 
     STEEL — 1.9%                  
 3,885,000   CSN Resources S.A.(c),(d)      4.6250    06/10/31    4,024,277 
                        
     TELECOMMUNICATIONS — 1.4%                  
 1,750,000   HC2 Holdings, Inc.(c)      8.5000    02/01/26    1,747,330 
 930,000   Sprint Spectrum Company, LLC / Sprint Spectrum(c),(d)  5.1520    03/20/28    1,079,163 
                      2,826,493 

 

 

DUNHAM LONG/SHORT CREDIT FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Principal
Amount ($)
      Spread  Coupon Rate (%)   Maturity   Fair Value 
    CORPORATE BONDS — 39.3% (Continued)            
     TRANSPORTATION & LOGISTICS — 3.5%              
 1,500,000   American Airlines, Inc./AAdvantage Loyalty IP Ltd.(c),(d)   5.7500    04/20/29   $1,620,285 
 1,868,500   United Airlines 2020-1 Class B Pass Through Trust  Series 2020-1 B(d)  4.8750    01/15/26    1,980,722 
 3,680,000   United Airlines, Inc.(c),(d)      4.3750    04/15/26    3,790,879 
                      7,391,886 
     TOTAL CORPORATE BONDS (Cost $78,532,465)    81,783,123 
                        
     TERM LOANS — 3.1%          
     LEISURE FACILITIES & SERVICES — 3.1%      
 1,629,375   Enterprise Development Authority (The)(e)  ICE LIBOR USD 1
Month + 4.250%
   5.0000    02/19/28    1,633,448 
 2,000,000   Lucky Bucks, LLC(e)  ICE LIBOR USD 1
Month + 5.500%
   5.5905    07/20/27    1,970,000 
 2,502,703   Spectacle Gary Holdings, LLC(e)  ICE LIBOR USD 1
Month + 9.000%
   9.0905    11/07/25    2,734,203 
 182,297   Spectacle Gary Holdings, LLC(e)  ICE LIBOR USD 1
Month + 9.000%
   9.0905    11/07/25    199,160 
                      6,536,811 
     TOTAL TERM LOANS (Cost $6,158,863)    6,536,811 
                        
     U.S. GOVERNMENT & AGENCIES — 42.7%      
     U.S. TREASURY BILLS — 42.7%      
 20,825,000   United States Treasury Bill(f)      0.0263    08/12/21    20,824,820 
 17,045,000   United States Treasury Bill(f)      0.4000    09/23/21    17,044,077 
 20,825,000   United States Treasury Bill(f)      0.4880    10/07/21    20,823,377 
 8,200,000   United States Treasury Note      0.8750    06/30/26    8,273,031 
 12,179,500   United States Treasury Note      1.6250    05/15/31    12,612,443 
 4,040,000   United States Treasury Note      2.2500    05/15/41    4,335,425 
 5,245,000   United States Treasury Note      1.8750    02/15/51    5,203,204 
                      89,116,377 
     TOTAL U.S. GOVERNMENT & AGENCIES (Cost $87,925,038)    89,116,377 

 

 

DUNHAM LONG/SHORT CREDIT FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 5.5%     
     MONEY MARKET FUNDS – 5.5%     
 11,407,268  

First American Government Obligations Fund, Class X, 0.03% (Cost $11,407,268)(g)

  $11,407,268 
           
           
     COLLATERAL FOR SECURITIES LOANED – 14.3%     
 29,764,341   Mount Vernon Liquid Assets Portfolio, 0.10% (Cost $29,764,341)(g),(i)   29,764,341 
           
     TOTAL INVESTMENTS - 112.3% (Cost $229,105,480)  $234,157,040 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (12.3)%   (25,558,344)
     NET ASSETS - 100.0%  $208,598,696 

 

OPEN FUTURES CONTRACTS
Number of
Contracts
   Open Short Futures Contracts  Expiration   Notional Amount(h)   Unrealized
Depreciation
 
 181   CBOT 10 Year US Treasury Note   09/21/2021   $24,335,993   $(418,514)
 99   CBOT 5 Year US Treasury Note   09/30/2021    12,320,055    (53,248)
 33   CBOT US Long Bond Future   09/21/2021    5,435,727    (245,978)
 46   CME Ultra Long Term US Treasury Bond Future   09/21/2021    9,178,426    (610,803)
     TOTAL FUTURES CONTRACTS   $(1,328,543)

 

CREDIT DEFAULT SWAP AGREEMENTS 
Description  Counterparty  Fixed Deal
(Pay) Rate
  Maturity Date  Notional Value   Fair Value   Amortized Upfront
Payments Paid
   Unrealized
Appreciation/
(Depreciation)
 
CDX IG 36 JUN 20 2026 5Y  Credit Suisse  1.00%  6/20/2026  $10,000,000    (243,141)   (251,673)  $8,532 
CDX NA SWAP  JP Morgan  1.00%  6/20/2024   1,000,000    (18,378)   (12,158)   (6,220)
CDX NA SWAP  US Bank  1.00%  12/20/2024   10,000,000    (183,776)   (121,529)   (62,247)
COMMONWEALTH OF AUSTRAILI  US Bank  1.00%  12/20/2023   2,000,000    (33,822)   (7,969)   (25,853)
D.R. HORTON INC  US Bank  1.00%  3/20/2025   3,000,000    (76,692)   (73,873)   (2,819)
FISERV  Barclays  1.00%  12/20/2025   5,000,000    (146,018)   (191,447)   45,429 
JOHNSON & JOHNSON(j)  Barclays  1.00%  12/20/2025   (5,000,000)   176,462    191,447    (14,985)
UNITED RENTALS  JP Morgan  1.00%  6/20/2022   3,000,000    (127,082)   (122,730)   (4,352)
VERIZON COMMUNICATIONS(j)  Barclays  1.00%  7/20/2022   (3,000,000)   21,706    11,845    9,861 
KRAFT HEINZ FOOD  JP Morgan  1.00%  6/20/2023   2,000,000    (32,839)   (31,954)   (885)
KRAFT HEINZ FOOD(i)  Goldman Sachs  1.00%  12/20/2023   (2,000,000)   34,676    14,987    19,689 
NEWELL BRANDS  Goldman Sachs  1.00%  12/20/2023   2,000,000    34,057    22,030    12,027 
NEWELL BRANDS(i)  JP Morgan  1.00%  6/20/2023   (2,000,000)   (35,894)   (32,614)   (3,280)
TOTAL                          $(25,103)

 

 

DUNHAM LONG/SHORT CREDIT FUND
July 31, 2021 (Unaudited)

 

TOTAL RETURN SWAPS 
Description  Counterparty  Notional Value   Variable Rate  Maturity Date   Unrealized
Depreciation
 
iBoxx USD Liquid High Yield Index  US Bank  $8,000,000   3 mo LIBOR + 0.00%  8/1/2024  $(313,068)
iBoxx USD Liquid High Yield Index  US Bank   5,000,000   3 mo LIBOR + 0.00%  8/1/2024   (48,029)
TOTAL                $(361,097)

 

LLC  - Limited Liability Company
   
LTD  - Limited Company
   
PLC  - Public Limited Company
   
REIT  - Real Estate Investment Trust
   
S/A  - Société Anonyme
   
BAR  - Barclays
   
CSI  - Credit Suisse
   
JPM  - JP Morgan
   
JPMC  - JP Morgan
   
USB  - US Bank
   
H15T5Y  - US Treasury Yield Curve Rate T Note Constant Maturity 5 Year
   
US0001M  - ICE LIBOR USD 1 Month
   
US0003M  - ICE LIBOR USD 3 Month
 
(a) Percentage rounds to less than 0.1%.
   
(b) Non-income producing security.
   
(c) Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers.  As of July 31, 2021 the total market value of 144A securities is 58,838,935 or 28.2% of net assets.
   
(d) All or a portion of these securities are on loan. Total loaned securities had a value of $29,099,490 at July 31, 2021.
   
(e) Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets.
   
(f) Zero coupon bond.
   
(g) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(h) The amounts shown are the underlying reference notional amounts to stock exchange indices and equities upon which the fair value of the futures contracts held by the Fund are based.  Notional values do not represent the current fair value of, and are not necessarily indicative of the future cash flows of the Fund’s futures contracts.  Further, the underlying price changes in relation to the variables specified by the notional values affects the fair value of these derivative financial instruments.  The notional values as set forth within this schedule do not purport to represent economic value at risk to the Fund.
   
(i) The Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.
   
(j)

If the Fund is a seller of protection and if a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising of the referenced index.

 

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     CLOSED END FUNDS — 4.3%     
     EQUITY - 4.3%     
 734,456   Altaba, Inc.(a)  $10,686,335 
           
     TOTAL CLOSED END FUNDS (Cost $11,712,055)   10,686,335 
           
Shares      Fair Value 
     COMMON STOCKS — 73.7%     
     AEROSPACE & DEFENSE - 5.2%     
 272,701   Aerojet Rocketdyne Holdings, Inc.   12,866,034 
           
     ASSET MANAGEMENT - 0.8%     
 102,696   Pershing Square Tontine Holdings Ltd.(a)   2,090,891 
           
     BANKING - 0.9%     
 48,127   Flagstar Bancorp, Inc.   2,202,292 
           
     BIOTECH & PHARMA - 0.0%(b)     
 336   AstraZeneca plc - ADR   19,250 
           
     CABLE & SATELLITE - 2.6%     
 222,805   Shaw Communications, Inc., Class B   6,503,796 
           
     ELECTRIC UTILITIES - 4.9%     
 250,057   PNM Resources, Inc.   12,085,255 
           
     HEALTH CARE FACILITIES & SERVICES - 3.6%     
 195,747   PPD, Inc.(a)   9,027,852 
           
     INSURANCE - 9.6%     
 130,363   Athene Holding Ltd., Class A(a)   8,424,057 
 74,381   Willis Towers Watson plc   15,328,436 
         23,752,493 
     OIL & GAS PRODUCERS - 0.0%(b)     
 84,102   Columbia Pipeline Group, Inc.(a)    

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 73.7% (Continued)     
     RETAIL REIT - 4.7%     
 238,294   VEREIT, Inc.  $11,669,257 
           
     SEMICONDUCTORS - 16.7%     
 32,238   Coherent, Inc.(a)   7,928,614 
 43,628   Dialog Semiconductor plc(a)   3,354,440 
 98,746   Maxim Integrated Products, Inc.   9,865,713 
 134,983   Xilinx, Inc.   20,225,853 
         41,374,620 
     SOFTWARE - 11.4%     
 554,876   Change Healthcare, Inc.(a)   12,046,358 
 12,060   Five9, Inc.(a)   2,427,557 
 254,367   Nuance Communications, Inc.(a)   13,964,748 
 19   salesforce.com, Inc.(a)   4,597 
         28,443,260 
     TECHNOLOGY SERVICES - 5.7%     
 121,832   IHS Markit Ltd.   14,234,851 
           
     TELECOMMUNICATIONS - 0.2%     
 205,893   NII Holdings, Inc. 144A(a),(c)   442,670 
           
     TRANSPORTATION & LOGISTICS - 7.4%     
 68,155   Kansas City Southern   18,251,908 
           
           
     TOTAL COMMON STOCKS (Cost $183,144,809)   182,964,429 
           
Shares      Fair Value 
     RIGHT — 0.0%(b)     
     NON-LISTED RIGHT - 0.0% (b)     
 10,079   Alder BioPharmaceuticals, Inc. 144A   10,079 
           
     TOTAL RIGHT (Cost $20,158)   10,079 

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares                    Fair Value 
     SHORT-TERM INVESTMENTS — 0.2%       
     MONEY MARKET FUNDS - 0.2%         
 373,376   Fidelity Government Portfolio, Institutional Class, 0.01% (Cost $373,376)(d)   $373,376 
                           
Contracts(e)        Broker/Counterparty   Expiration Date   Exercise Price    Notional Value    Fair Value 
     EQUITY OPTIONS PURCHASED - 0.1%                     
     PUT OPTIONS PURCHASED - 0.1%                     
 813   Canadian National Railway Company  USB  10/15/2021  $100   $8,831,619   $140,243 
     TOTAL PUT OPTIONS PURCHASED (Cost - $368,562)       
                           
     TOTAL EQUITY OPTIONS PURCHASED (Cost - $368,562)     140,243 
                           
     TOTAL INVESTMENTS - 78.3% (Cost $195,618,960)    $194,174,462 
     OTHER ASSETS IN EXCESS OF LIABILITIES- 21.7%     53,552,447 
     NET ASSETS - 100.0%         $247,726,909 

 

ADR  - American Depositary Receipt
   
LTD  - Limited Company
   
NV  - Naamioze Vennootschap
   
PLC  - Public Limited Company
   
REIT  - Real Estate Investment Trust
   
USB US Bank

 

(a) Non-income producing security.
   
(b) Percentage rounds to less than 0.1%.
   
(c) Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers.  As of July 31, 2021 the total market value of 144A securities is 452,749 or 0.2% of net assets.
   
(d) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(e) Each option contract allows the holder of the option to purchase or sell 100 shares of the underlying security.

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
SCHEDULE OF SECURITIES SOLD SHORT (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — (41.3)%     
     AEROSPACE & DEFENSE - 0.0% (a)     
 (50)  Teledyne Technologies, Inc.  $(22,639)
           
     ASSET MANAGEMENT - (3.5)%     
 (149,527)  Apollo Global Management, Inc.   (8,801,160)
           
     BANKING - (0.9)%     
 (193,000)  New York Community Bancorp, Inc.   (2,273,540)
           
     INSURANCE - (8.5)%     
 (80,481)  Aon plc, CLASS A   (20,927,474)
           
     RETAIL - CONSUMER STAPLES - 0.0% (a)     
 (1)  Just Eat Takeaway.com N.V.   (89)
           
     RETAIL REIT - (4.8)%     
 (168,650)  Realty Income Corporation   (11,854,408)
           
     SEMICONDUCTORS - (15.1)%     
 (233,193)  Advanced Micro Devices, Inc.   (24,762,765)
 (62,211)  Analog Devices, Inc.   (10,415,366)
 (29,422)  II-VI, Inc.   (2,053,950)
         (37,232,081)
     SOFTWARE - (1.0)%     
 (6,673)  Zoom Video Communications, Inc., Class A   (2,523,061)
           
     TECHNOLOGY SERVICES - (5.9)%     
 (34,569)  S&P Global, Inc.   (14,820,422)
           
     TRANSPORTATION & LOGISTICS - (1.6)%     
 (36,275)  Canadian National Railway Company   (3,940,553)
           
           
     TOTAL SECURITIES SOLD SHORT - (Proceeds - $90,897,986)  $(102,395,427)

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
July 31, 2021 (Unaudited)

 

                 Unrealized 
Foreign Currency  Settlement Date  Counterparty  Local Currency   U.S. Dollar Value   Appreciation/
(Depreciation)
 
To Sell:                     
Canadian Dollar  08/12/2021  US Bank   2,541,173   $2,035,607   $11,946 
Euro  10/21/2021  US Bank   2,944,891    3,497,675    (20,394)
              $5,533,282   $(8,448)
                      
Total                  $(8,448)

 

 

DUNHAM REAL ESTATE STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 99.0%     
     DATA CENTER REITS - 3.3%     
 4,107   Equinix, Inc.  $3,369,424 
           
     INDUSTRIAL REIT - 9.2%     
 20,093   Innovative Industrial Properties, Inc.(a)   4,319,794 
 13,860   Prologis, Inc.   1,774,634 
 29,113   Rexford Industrial Realty, Inc.   1,791,032 
 23,396   Terreno Realty Corporation   1,599,351 
         9,484,811 
     INFRASTRUCTURE REITS - 14.8%     
 31,240   American Tower Corporation   8,834,671 
 17,792   Crown Castle International Corporation   3,435,457 
 9,013   SBA Communications Corporation   3,073,343 
         15,343,471 
     LEISURE FACILITIES & SERVICES - 18.4%     
 87,238   Caesars Entertainment, Inc.(a),(b)   7,621,112 
 664,589   Drive Shack, Inc.(a),(b)   1,674,764 
 104,036   Hilton Grand Vacations, Inc.(b)   4,231,144 
 6,033   Marriott Vacations Worldwide Corporation   889,083 
 88,172   MGM Resorts International   3,309,095 
 11,985   Wynn Resorts Ltd.(a)   1,178,485 
         18,903,683 
     MULTI ASSET CLASS REITS - 4.7%     
 690,957   DigitalBridge Group, Inc.(a),(b)   4,809,061 
           
     OFFICE REIT - 4.3%     
 21,805   Alexandria Real Estate Equities, Inc.   4,390,219 
           
     RESIDENTIAL REIT - 8.0%     
 53,358   American Homes 4 Rent, Class A(a)   2,241,036 
 14,921   Equity LifeStyle Properties, Inc.   1,250,380 
 85,878   Invitation Homes, Inc.   3,493,517 
 6,090   Sun Communities, Inc.   1,194,310 
         8,179,243 

 

 

DUNHAM REAL ESTATE STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2021

 

Shares      Fair Value 
     COMMON STOCKS — 99.0% (Continued)     
     SELF-STORAGE REITS - 7.3%     
 20,692   Extra Space Storage, Inc.  $3,603,305 
 1,937   Life Storage, Inc.   227,326 
 67,458   National Storage Affiliates Trust   3,654,200 
         7,484,831 
     SPECIALTY FINANCE - 7.4%     
 265,407   Fortress Transportation and Infrastructure   7,587,986 
           
     TECHNOLOGY SERVICES - 3.1%     
 35,950   CoStar Group, Inc.(b)   3,194,158 
           
     TELECOMMUNICATIONS - 18.5%     
 308,018   21Vianet Group, Inc. - ADR(b)   5,337,952 
 454,549   Chindata Group Holdings Ltd. - ADR(a),(b)   5,672,772 
 52,019   GDS Holdings Ltd. - ADR(a),(b)   3,067,040 
 239,205   Switch, Inc., Class A(a)   4,941,975 
         19,019,739 
           
     TOTAL COMMON STOCKS (Cost $80,441,486)   101,766,626 
           
     COLLATERAL FOR SECURITIES LOANED — 25.2%     
 25,933,067   Mount Vernon Liquid Assets Portfolio, 0.10% (Cost $25,933,067)(c),(d)   25,933,067 
           
     TOTAL INVESTMENTS - 124.2% (Cost $106,374,553)  $127,699,693 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (24.2)%   (24,906,090)
     NET ASSETS - 100.0%  $102,793,603 

 

ADR  - American Depositary Receipt
   
LTD  - Limited Company
   
REIT  - Real Estate Investment Trust

  

(a) Non-income producing security.
   
(b) All or a portion of these securities are on loan. Total loaned securities had a value of $25,277,687 at July 31, 2021.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2021.
   
(d)

The Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.